行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

创金合信鑫收益混合E(006906)

2022-12-30     1.07020.0000%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2022-09-301,987.421,033.95812.790.000.000.000.00152.230.00
2022-06-302,613.172,062.20793.880.000.000.000.0044.180.00
2022-03-316,459.683,308.401,317.8037.8913,361.151,174.410.0028.780.00
2021-12-319,678.873,847.211,263.0739.0718,216.501,346.900.00159.880.00
2021-09-307,841.443,492.82944.2431.1018,129.53514.150.0079.490.00
2021-06-308,906.781,499.345,400.8147.748,991.811,000.600.0065.520.00
2021-03-3124,996.884,455.933,942.3442.5469,215.981,008.200.003,337.360.00
2020-12-3113,197.483,974.891,318.76426.5447,219.111,000.100.00169.560.00
2020-09-3016,027.60626.81396.57410.2865,384.29999.400.00261.720.00
2020-06-3025,464.46404.191,161.33493.63131,014.813,611.880.001,195.480.00
2020-03-3133,435.711.76710.820.00155,438.833,613.150.00765.520.00
2019-12-3148,300.710.007,697.830.00109,826.902,173.800.001,003.620.00
2019-09-3070,014.550.002,291.4112.3079,429.752,173.120.00811.880.00
2019-06-3052,505.100.001,741.670.0042,964.071,718.230.00739.070.00
2019-03-3113,355.700.00362.890.00452.461,002.800.00202.660.00