行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

招商瑞泰1年持有期混合C(012966)

2024-12-02     1.03790.3481%
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
2024-09-3041,618.778,406.377,147.59693.86144,377.204,244.320.004,200.430.00
2024-06-3046,407.328,098.213,736.72778.19215,838.088,089.710.00193.770.00
2024-03-3155,324.4710,235.692,258.151,122.43257,088.407,009.630.00489.050.00
2023-12-3166,614.8913,351.23805.092,875.52307,097.7810,017.790.00141.450.00
2023-09-3081,778.8114,992.842,200.542,493.18345,548.3220,429.590.0083.110.00
2023-06-30106,412.2117,136.381,156.46483.47366,100.2045,948.450.001,298.040.00
2023-03-31157,419.4111,151.493,913.77467.54456,712.8757,958.902,052.021,205.460.00
2022-12-31231,690.0536,597.2614,283.84469.67575,235.4467,305.632,007.432,387.250.00
2022-09-30474,134.1231,541.9022,914.46615.91580,099.82132,792.7079,840.4967.870.00
2022-06-30472,629.2132,291.8523,788.45768.48473,036.94123,119.0489,983.5213,743.940.00
2022-03-31468,351.7727,083.0218,269.95507.39329,073.99107,275.4188,861.752,859.880.00