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基金业绩

基金费率

投资组合

基金概况

财务数据

中银新回报混合C(010172)

2025-02-06     1.71900.1748%
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
2024-12-31122,560.7911,260.866,855.340.001,338,638.6717,859.270.00483.440.00
2024-09-30143,050.1713,626.696,068.480.001,608,495.3516,604.890.002,100.260.00
2024-06-30162,948.1216,627.3713,712.910.001,783,107.7517,721.560.00197.750.00
2024-03-31191,370.5219,113.4511,276.170.001,984,207.9220,551.950.0013.670.00
2023-12-31185,764.5526,030.416,440.980.001,876,340.6837,127.710.00510.780.00
2023-09-30201,810.8031,648.636,494.050.001,969,879.7838,686.570.00508.870.00
2023-06-30219,536.1837,664.3313,808.050.002,185,980.5418,257.900.00304.090.00
2023-03-31238,712.3642,337.6711,351.640.002,440,124.076,095.480.00196.140.00
2022-12-31258,289.2342,068.6012,540.810.002,543,578.297,076.460.002,823.550.00
2022-09-30292,553.3857,774.044,902.490.003,122,894.6316,104.590.00191.890.00
2022-06-30340,739.3174,333.723,690.110.003,289,616.6619,010.470.001,218.990.00
2022-03-31367,358.2343,954.665,337.330.003,311,240.5221,613.040.00226.370.00
2021-12-31452,289.8289,458.526,027.110.004,079,688.0043,466.300.008,090.470.00
2021-09-30558,469.23106,003.772,822.700.004,888,515.0032,120.000.0010,472.600.00
2021-06-30783,854.08154,076.424,394.42598.805,025,407.0077,340.200.008,441.500.00
2021-03-31935,900.46123,072.226,323.28146.304,559,298.4687,235.900.0013,041.680.00
2020-12-31798,516.88147,664.2714,949.13169.503,184,194.0046,580.740.0010,622.470.00
2020-09-30300,942.0048,517.577,222.970.001,014,093.0019,325.500.005,899.810.00