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基金业绩

基金费率

投资组合

基金概况

财务数据

东海启航6个月混合C(013377)

2024-11-20     0.88250.4210%
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
2024-09-306,284.023,045.59891.53169.4617,975.010.000.006.270.00
2024-06-306,265.392,985.32688.8863.9620,774.300.000.00342.740.00
2024-03-316,344.513,059.42588.49305.7713,383.50255.200.00175.760.00
2023-12-316,928.063,103.621,625.610.0011,356.610.000.00420.840.00
2023-09-307,175.933,366.861,105.210.007,815.41509.050.0065.240.00
2023-06-307,899.053,592.921,029.210.005,144.521,989.580.004.990.00
2023-03-318,694.023,311.581,716.4535.166,308.661,629.150.0047.500.00
2022-12-319,700.912,803.542,376.660.0012,563.63615.850.0061.410.00
2022-09-3013,776.62418.36309.55111.7312,354.761,834.420.002.970.00
2022-06-3017,240.89173.972,582.59816.19868.401,010.580.007.890.00
2022-03-3122,559.293,248.041,927.320.002,605.120.000.005.350.00