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基金业绩

基金费率

投资组合

基金概况

财务数据

天弘信益C(007741)

2024-11-21     1.06940.0561%
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
2024-09-30289,269.010.0021,413.520.00597,291.60150,687.930.006,150.360.00
2024-06-30334,859.240.0032,189.800.00785,637.21260,500.830.004,662.940.00
2024-03-31201,476.500.00385.810.00554,038.0393,927.270.0015.640.00
2023-12-3161,305.510.0042.790.0050,251.5361,040.200.001.150.00
2023-09-3061,006.630.00154.540.000.0052,711.020.002.820.00
2023-06-3060,839.240.0031.910.0051,416.5353,729.210.008.240.00
2023-03-3160,066.270.00236.070.000.0075,886.930.003.350.00
2022-12-3196,586.760.007,141.870.0058,400.2868,760.190.001.660.00
2022-09-301,263.850.00238.790.000.001,041.440.000.080.00
2022-06-305,060.690.00501.750.000.004,599.850.000.000.00
2022-03-31170,316.610.00379.870.000.00224,026.810.000.320.00
2021-12-31210,441.100.00103.980.000.00169,812.890.003,603.250.00
2021-09-302,031.310.0032.290.000.001,998.000.0016.510.00
2021-06-3026,316.050.00555.150.000.0022,062.500.00308.170.00
2021-03-3131,043.530.009.610.000.0027,126.300.00609.450.00
2020-12-3131,391.150.0015,925.030.000.0020,039.210.00510.020.00
2020-09-3035,983.820.0037.390.000.0036,190.990.00842.320.00
2020-06-3067,979.430.006.270.000.0064,443.540.00793.930.00
2020-03-3133,205.470.00171.080.000.0035,411.330.00616.870.00
2019-12-3148,054.020.0061.100.000.0052,538.250.00720.080.00