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基金费率

投资组合

基金概况

财务数据

天弘京津冀C(011657)

2024-11-20     1.05490.0095%
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
2024-09-30135,683.590.006,058.390.0075,719.8062,716.390.008.970.00
2024-06-30146,100.830.0016,371.690.00139,251.7761,889.203,656.6019.490.00
2024-03-31145,411.200.005,302.230.00132,499.1523,810.010.002.460.00
2023-12-31140,829.440.00570.550.00131,471.7039,904.520.005.970.00
2023-09-30142,958.710.00630.560.00143,490.3935,998.310.002.340.00
2023-06-30238,502.380.007,003.830.00143,128.4372,775.760.001.640.00
2023-03-31199,342.680.0073.820.00152,093.1848,146.070.001.190.00
2022-12-31206,937.850.0062.500.00130,816.1920,450.140.001.580.00
2022-09-30159,393.290.00567.340.00153,746.6825,341.610.004.480.00
2022-06-30121,483.890.0065.380.00154,578.547,040.990.001.940.00
2022-03-31121,579.640.00119.610.00184,451.2823,158.130.006.920.00
2021-12-31122,035.710.0024.540.00200,761.0025,755.350.002,173.440.00
2021-09-3061,907.880.0036.230.0061,632.007,265.560.001,217.680.00