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基金业绩

基金费率

投资组合

基金概况

财务数据

融通鑫新成长混合C(011404)

2024-12-10     1.15260.4970%
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
2024-09-3054,883.5648,909.404,460.050.000.000.000.001,841.440.00
2024-06-3062,733.5559,409.494,107.580.000.000.000.0071.280.00
2024-03-31113,218.33106,780.236,202.370.000.000.000.001,270.560.00
2023-12-31177,552.71168,048.1412,138.280.000.000.000.00390.650.00
2023-09-30161,591.14152,742.189,017.80214.260.000.000.00196.120.00
2023-06-30211,916.81200,502.3112,996.600.000.000.000.00472.050.00
2023-03-31243,093.29229,384.3014,540.610.000.000.000.001,735.650.00
2022-12-3177,938.9573,586.084,592.580.000.000.000.00164.900.00
2022-09-3021,448.7720,176.151,500.800.000.000.000.00211.900.00
2022-06-309,167.068,325.19798.280.000.000.000.00236.170.00
2022-03-319,334.308,810.33554.290.000.000.000.0020.240.00
2021-12-3112,011.0611,278.331,076.870.000.000.000.00246.200.00