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基金业绩

基金费率

投资组合

基金概况

财务数据

博时汇荣回报混合C(012501)

2024-12-02     0.75531.7925%
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
2024-09-3037,800.2522,619.084,561.110.000.000.000.0085.760.00
2024-06-3038,675.0423,226.233,969.120.000.000.000.009.700.00
2024-03-3143,007.1138,080.015,113.910.000.000.000.001,903.490.00
2023-12-3144,666.2334,050.383,511.800.000.002,006.210.0030.660.00
2023-09-3048,541.4126,673.3021,904.440.000.000.000.0054.840.00
2023-06-3055,104.0736,916.953,790.240.000.000.000.0014,568.420.00
2023-03-3156,351.1643,775.724,847.3687.870.000.000.00664.210.00
2022-12-3158,367.8852,933.724,576.7888.110.000.000.00925.200.00
2022-09-3062,803.9637,640.697,195.2684.780.000.000.0018,066.860.00
2022-06-3071,599.4855,475.866,363.5082.630.000.000.00934.760.00
2022-03-3171,950.9934,408.4937,448.4481.130.000.000.00250.860.00
2021-12-3188,349.4350,234.819,717.9497.620.000.000.003,549.940.00