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基金业绩

基金费率

投资组合

基金概况

财务数据

博时恒裕持有期混合C(009333)

2024-11-20     0.9581-0.0209%
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
2024-09-3021,815.786,426.702,742.334,174.5420,417.780.000.001,302.330.00
2024-06-3022,167.266,567.375,185.683,588.5730,592.550.000.00656.090.00
2024-03-3122,433.756,656.093,692.693,963.7250,948.170.000.007.020.00
2023-12-3123,035.306,694.744,708.934,730.5050,893.960.000.00205.650.00
2023-09-3024,548.656,073.995,918.764,262.6250,880.870.000.00102.750.00
2023-06-3025,326.917,356.652,794.775,009.4371,215.020.000.0044.900.00
2023-03-3127,650.936,944.483,194.514,988.43100,446.190.000.00140.130.00
2022-12-3128,731.342,851.995,595.524,775.85100,125.653,137.800.0010.550.00
2022-09-3029,913.892,535.393,897.603,211.51105,687.718,319.820.001,664.090.00
2022-06-3032,712.964,756.402,635.353,485.18104,970.319,190.080.00736.910.00
2022-03-3133,958.903,235.046,408.782,552.7672,278.293,053.380.0052.050.00
2021-12-3139,370.125,984.758,567.922,847.4180,831.501,021.600.00293.490.00
2021-09-3046,555.738,448.7110,918.352,747.66155,360.900.000.00534.010.00
2021-06-3081,073.4115,091.3214,226.997,088.30292,747.700.000.001,078.920.00
2021-03-31109,298.8519,182.7010,484.554,588.70277,956.507,011.200.002,306.580.00
2020-12-31219,010.2138,735.0323,583.32141.30380,585.1033,794.500.0010,195.230.00
2020-09-30517,346.0727,565.4020,474.0845,637.37584,096.3433,734.900.006,228.360.00