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基金业绩

基金费率

投资组合

基金概况

财务数据

博时双季鑫6个月持有期混合C(010905)

2024-11-20     1.01620.1478%
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
2024-09-307,115.252,124.702,388.831,362.360.000.000.00133.180.00
2024-06-307,223.622,148.022,588.972.140.000.000.006.900.00
2024-03-317,537.052,256.24156.832.260.003,105.620.006.180.00
2023-12-317,683.802,291.41235.762.570.004,634.590.000.370.00
2023-09-308,441.992,339.56508.841.920.005,621.450.001.240.00
2023-06-309,227.192,553.58210.080.005,123.395,595.780.0021.690.00
2023-03-3110,683.361,925.63155.870.0020,345.566,710.020.00408.630.00
2022-12-3112,241.801,960.14452.07428.8224,379.186,793.140.000.880.00
2022-09-3014,191.511,924.23188.32448.7324,345.756,775.970.002.710.00
2022-06-3017,581.47758.49355.11726.4650,259.331,005.860.005.370.00
2022-03-3123,284.031,065.431,972.431,036.6141,041.930.000.001.450.00
2021-12-3125,905.314,077.772,299.131,548.0740,279.000.000.00323.740.00
2021-09-3022,961.963,255.362,153.391,856.7740,165.002,012.000.00808.520.00
2021-06-3035,846.114,562.112,449.583,621.24122,092.000.000.00910.360.00
2021-03-3134,911.702,683.732,834.8127.40122,376.001,001.400.00624.040.00