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基金业绩

基金费率

投资组合

基金概况

财务数据

民生加银新兴产业混合C(010117)

2024-12-02     0.72260.6407%
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
2024-09-3061,260.6245,310.7714,763.710.000.000.000.002,013.470.00
2024-06-3060,730.1146,502.1014,582.630.000.000.000.00291.010.00
2024-03-3168,986.3855,523.5412,894.330.000.000.000.001,593.290.00
2023-12-3191,861.1076,272.2815,516.180.000.000.000.00384.250.00
2023-09-3098,307.6782,872.5615,737.860.000.000.000.002,241.020.00
2023-06-30106,474.7190,884.7314,085.130.000.000.000.001,862.700.00
2023-03-3197,675.1882,395.3720,081.580.000.000.000.0096.510.00
2022-12-3177,518.7866,370.6713,401.480.000.000.000.001,392.040.00
2022-09-3079,038.7664,540.3313,353.740.000.000.000.001,488.220.00
2022-06-3097,218.4680,675.4021,535.530.000.000.000.0058.050.00
2022-03-3193,388.8874,073.8118,708.430.000.000.000.001,033.910.00
2021-12-31116,943.9698,784.7820,461.880.000.000.000.0054.130.00
2021-09-30104,647.4885,287.0922,690.560.000.000.000.0074.630.00
2021-06-30146,582.82118,554.7832,204.960.000.000.000.00174.500.00
2021-03-31159,280.33117,059.0242,983.510.000.000.000.00460.040.00
2020-12-31290,605.43213,509.7484,491.450.000.000.000.003,533.350.00