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基金费率

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基金概况

财务数据

海富通阿尔法对冲混合C(008795)

2025-02-05     0.99700.0401%
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
2024-12-3126,134.3217,786.535,996.49503.810.000.000.002,019.850.00
2024-09-3031,672.2824,537.584,133.640.000.000.000.008,289.830.00
2024-06-3034,472.6023,495.068,733.1319.750.000.000.002,800.270.00
2024-03-3138,724.1827,202.578,770.320.000.000.000.003,184.980.00
2023-12-3135,204.8524,654.798,173.370.000.000.000.002,952.010.00
2023-09-3039,996.9130,262.056,466.560.000.000.000.003,499.780.00
2023-06-3044,370.0830,153.2711,140.6293.550.000.000.003,461.790.00
2023-03-3146,739.6233,334.7712,931.6537.810.000.000.004,120.180.00
2022-12-3186,672.7454,380.8524,345.1521.590.000.000.008,411.380.00
2022-09-30131,392.0881,033.8740,414.97111.880.000.000.0010,672.210.00
2022-06-30202,104.22135,203.9745,306.0489.000.000.000.0017,320.760.00
2022-03-31318,573.45194,082.99106,818.31271.650.000.000.0022,325.900.00
2021-12-31481,921.76339,049.05107,603.49527.760.000.000.0037,542.690.00
2021-09-30575,422.10359,965.92169,286.31306.130.000.000.0042,706.420.00
2021-06-30713,083.79495,172.75172,437.211,026.5123,131.400.000.0059,028.980.00
2021-03-31907,722.34524,650.22252,155.4421,939.00136,955.106,198.060.0064,565.910.00
2020-12-311,041,220.76742,315.6055,485.3371,375.04513,157.5046,676.840.0096,714.460.00
2020-09-301,499,128.75780,462.69228,987.3783,927.09512,744.2046,205.860.00106,156.560.00
2020-06-301,288,108.36710,713.01205,122.22116,436.64716,048.0048,524.890.0091,582.380.00
2020-03-31738,541.73376,753.04248,373.9926,234.9453,820.7035,618.440.0040,878.900.00