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基金概况

财务数据

中银顺泽回报一年持有期混合C(011045)

2024-12-02     0.89050.3833%
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
2024-09-30186,863.8230,033.8217,464.070.00790,475.34107,742.150.0019.780.00
2024-06-30195,911.0033,497.9811,274.460.001,070,564.53100,417.740.00381.770.00
2024-03-31207,116.9638,461.6117,417.110.001,287,746.2380,297.440.0089.020.00
2023-12-31216,006.6538,718.949,573.070.001,340,501.8286,954.150.0039.370.00
2023-09-30236,430.5343,516.4519,110.420.001,453,731.6197,603.320.002,076.550.00
2023-06-30262,933.0146,879.9326,465.670.001,972,989.0463,988.750.00634.020.00
2023-03-31290,040.3859,101.9420,682.940.002,908,351.649,322.750.00296.820.00
2022-12-31316,904.0955,256.5419,923.090.002,660,735.659,326.710.001,648.690.00
2022-09-30360,675.2170,956.806,778.440.002,493,798.3422,841.710.00498.170.00
2022-06-30422,962.5778,639.568,619.200.002,659,310.6631,891.730.008,224.890.00
2022-03-31483,856.4438,861.216,718.780.002,047,410.2528,526.727,402.986,450.050.00
2021-12-31725,080.45142,700.1312,866.540.005,245,657.5065,425.000.0012,751.470.00
2021-09-30721,462.1789,668.687,880.420.006,677,754.00102,342.500.0012,121.640.00
2021-06-30727,215.09118,795.0410,669.05664.305,730,298.0070,296.300.007,889.350.00
2021-03-31721,967.0837,148.649,616.11722.004,811,223.4670,034.600.008,800.210.00