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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏核心成长混合C(012710)

2025-04-01     0.6462-0.5234%
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
2024-12-3134,444.4731,537.542,660.880.000.000.000.00416.790.00
2024-09-3034,030.4431,411.391,958.210.000.000.000.00788.890.00
2024-06-3030,968.8028,723.482,414.430.000.000.000.0010.630.00
2024-03-3135,556.8933,318.282,374.460.000.000.000.008.770.00
2023-12-3140,693.5937,148.893,435.720.000.000.000.001,160.690.00
2023-09-3042,472.7538,001.204,406.470.000.000.000.00434.570.00
2023-06-3050,810.8446,961.404,017.210.000.000.000.009.980.00
2023-03-3153,500.1349,879.783,798.520.000.000.000.0035.460.00
2022-12-3155,341.0451,388.196,201.03199.190.000.000.008.280.00
2022-09-3055,518.6251,822.383,806.2288.310.000.000.0047.500.00
2022-06-3065,066.6260,408.234,478.050.000.000.000.00733.340.00
2022-03-3162,382.4556,577.506,075.740.000.000.000.0093.540.00