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基金业绩

基金费率

投资组合

基金概况

财务数据

国富鑫颐收益混合C(012813)

2024-11-22     1.0132-0.3541%
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
2024-09-301,937.96272.53249.49119.891,884.101,095.0181.5812.270.00
2024-06-302,622.25348.88335.39261.201,044.381,759.530.003.580.00
2024-03-312,903.06289.83195.26165.260.002,229.960.004.230.00
2023-12-313,207.71480.26339.45508.712,059.521,419.240.006.150.00
2023-09-304,037.71838.58588.37670.252,034.441,713.530.0045.130.00
2023-06-305,050.281,000.18390.24542.7410,253.36921.750.006.360.00
2023-03-315,571.901,158.89456.451,104.480.00881.640.00168.850.00
2022-12-3110,466.341,727.791,688.611,000.1015,233.10703.210.0040.460.00
2022-09-3018,449.153,173.952,445.33729.4661,679.990.000.0013.570.00
2022-06-3017,622.443,025.083,663.151,084.5671,313.680.000.0011.740.00