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基金业绩

基金费率

投资组合

基金概况

财务数据

泰康浩泽混合C(010082)

2024-12-10     1.04860.1241%
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
2024-09-3016,661.213,933.576,028.8082.5215,222.645,782.820.0028.560.00
2024-06-3018,750.023,760.453,595.920.0033,786.174,288.331,684.1312.060.00
2024-03-3129,373.925,103.55850.420.0049,074.9613,575.411,650.0811.690.00
2023-12-3133,033.894,067.80199.040.0046,730.1615,373.051,612.13141.860.00
2023-09-3035,365.875,394.00921.030.0061,905.6814,582.680.00412.150.00
2023-06-3041,667.787,813.3596.910.0070,564.2316,221.370.0040.980.00
2023-03-3152,182.3413,765.83811.080.00126,280.1314,625.020.005.490.00
2022-12-3171,945.6217,313.33599.020.00182,013.3423,679.580.006.320.00
2022-09-3077,547.0712,783.411,278.740.00230,258.5512,628.830.00170.630.00
2022-06-3091,458.5316,725.161,570.070.00262,173.0619,278.880.00101.960.00
2022-03-3197,458.336,936.441,510.170.00297,108.7912,971.370.0091.150.00
2021-12-31111,120.2422,142.031,192.500.00322,238.9010,128.800.002,006.410.00
2021-09-30120,264.9215,959.46784.370.00300,426.2017,188.200.004,033.770.00