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基金费率

投资组合

基金概况

财务数据

银华鑫盛灵活配置混合(LOF)C(014048)

2025-06-16     2.1720-0.3212%
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
2025-03-31115,740.8780,095.468,579.300.000.000.000.0011,228.980.00
2024-12-31260,688.36218,506.3749,873.030.000.000.000.001,749.550.00
2024-09-30275,712.43223,188.3540,343.020.000.000.000.0013,033.630.00
2024-06-30297,686.80262,848.7336,037.600.000.000.000.001,189.280.00
2024-03-31431,877.20376,489.8157,277.280.000.000.000.00984.860.00
2023-12-31523,540.81485,179.6845,590.010.000.000.000.00442.600.00
2023-09-30645,666.23587,914.7359,307.470.000.000.000.001,884.250.00
2023-06-30655,500.38538,184.66121,328.040.000.000.000.001,021.560.00
2023-03-31661,234.38479,508.3474,824.980.000.000.000.003,269.150.00
2022-12-31459,936.15412,413.8176,874.670.000.000.000.001,682.810.00
2022-09-30500,602.72360,595.2441,168.30157.770.0031,653.580.00405.230.00
2022-06-30582,701.01481,711.5990,540.070.000.0041,701.000.00720.980.00
2022-03-31619,782.03494,265.4688,940.150.000.0041,419.290.001,849.340.00
2021-12-31236,093.33184,283.6819,944.590.000.000.000.0033,275.930.00