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基金费率

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基金概况

财务数据

天弘增强回报A(007128)

2024-12-02     1.40850.3634%
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
2024-09-30468,642.1095,829.5856,368.7599,450.282,098,673.47117,471.0912,186.102,767.930.00
2024-06-30484,495.6591,430.9347,186.9763,609.533,119,629.6165,012.260.00211.740.00
2024-03-31529,367.7096,275.32116,420.8672,159.293,487,586.9668,582.610.002,000.220.00
2023-12-31648,338.10114,302.2448,910.00140,552.763,988,018.32115,389.200.00841.720.00
2023-09-30794,969.52133,914.92125,548.16144,933.224,411,525.25241,650.160.002,933.630.00
2023-06-30896,293.05157,887.19133,714.60164,361.814,545,649.11306,215.750.00861.500.00
2023-03-31837,265.28162,078.2471,754.84158,006.505,777,840.02164,407.650.00131.940.00
2022-12-31911,549.85168,030.0765,397.33190,094.226,665,225.0526,468.120.002,449.660.00
2022-09-301,058,618.09139,530.26108,872.35175,479.556,746,174.8996,017.860.001,015.450.00
2022-06-301,255,953.80162,041.66123,955.48118,902.996,754,533.03383,006.200.0040,825.510.00
2022-03-311,466,088.62168,058.06139,452.93146,954.406,888,508.39590,061.500.001,465.560.00
2021-12-311,998,749.10308,294.6250,584.32218,005.066,486,952.00613,735.900.0024,882.950.00
2021-09-30799,729.19114,761.7672,993.0480,681.354,028,936.00203,266.500.0013,556.950.00
2021-06-3055,606.4410,890.446,098.2710,634.73273,568.505,028.100.001,473.830.00
2021-03-3144,949.058,635.085,336.8211,132.64222,949.907,039.800.00966.970.00
2020-12-3139,091.147,705.435,712.3712,404.53182,936.600.000.00544.310.00
2020-09-3019,207.053,680.101,829.004,698.0394,617.700.000.001,052.240.00
2020-06-3015,195.031,935.09807.193,318.7690,535.101,001.900.00544.170.00
2020-03-3112,373.231,471.69339.77650.8280,722.103,636.710.00760.020.00
2019-12-3110,979.211,653.03718.883,395.2459,761.00701.180.00290.330.00
2019-09-3022,244.152,573.71541.065,070.65141,583.001,605.160.00262.320.00
2019-06-3030,387.960.000.000.000.000.000.000.000.00