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

同泰开泰混合C(007771)

2024-12-02     0.92313.9410%
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
2024-09-302,283.572,018.04103.490.000.000.000.00269.880.00
2024-06-301,707.101,611.4567.230.000.000.000.0057.670.00
2024-03-311,913.981,757.8588.560.000.000.000.00100.300.00
2023-12-311,981.521,780.0691.940.000.000.000.00122.700.00
2023-09-302,309.142,076.97131.420.000.000.000.00111.720.00
2023-06-302,828.372,550.3197.800.000.000.000.00203.790.00
2023-03-313,201.232,937.52164.350.000.000.000.00129.670.00
2022-12-313,320.082,997.25116.720.000.000.000.00231.460.00
2022-09-305,709.634,882.73197.865.200.000.000.00646.420.00
2022-06-306,883.616,366.45273.620.000.000.000.00305.060.00
2022-03-318,788.748,116.54502.320.000.000.000.00205.260.00
2021-12-3110,620.589,670.33952.960.000.000.000.0030.450.00
2021-09-308,217.587,501.91705.670.170.000.000.0054.420.00
2021-06-308,814.378,279.49871.353.640.000.000.0014.650.00
2021-03-315,787.175,189.04538.8529.090.000.000.0050.430.00
2020-12-316,438.885,730.98727.8810.820.000.000.001.910.00
2020-09-307,138.485,141.101,117.2112.280.000.000.005.270.00
2020-06-3011,920.3011,003.871,069.5829.530.000.000.0030.870.00
2020-03-3110,983.718,789.371,699.937.700.00500.450.0051.620.00
2019-12-3114,570.1712,766.791,722.4720.400.00552.180.0029.190.00