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基金业绩

基金费率

投资组合

基金概况

财务数据

永赢鑫辰混合A(012681)

2024-11-22     1.0094-0.0099%
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
2024-09-3044,725.740.001,146.220.0022,649.5517,241.660.00156.100.00
2024-06-3017,963.090.001,719.070.0010,245.788,697.630.00510.450.00
2024-03-3111,183.661,375.26864.12641.9410,165.232,589.940.009.410.00
2023-12-3112,499.951,749.032,520.541,258.8014,131.354,425.670.006.250.00
2023-09-3013,793.872,211.471,181.07734.7313,998.645,978.450.005.190.00
2023-06-3020,137.822,231.541,261.39868.707,062.245,749.660.005,883.790.00
2023-03-3111,438.48461.64835.040.000.008,237.570.003.000.00
2022-12-316,066.190.00667.810.000.003,060.640.004.310.00
2022-09-307,393.95903.16721.380.000.005,042.360.005.300.00
2022-06-3012,668.6620.651,224.430.000.000.000.002,004.060.00
2022-03-3121,581.236,141.865,300.440.0061,227.660.000.008.970.00
2021-12-3129,063.306,174.913,793.210.00141,114.001,003.200.00315.310.00
2021-09-3029,252.346,091.082,103.290.00150,752.000.000.001,371.960.00