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申万菱信兴乐优选混合C(016106)

2025-04-23     0.97351.5649%
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
2025-03-3112,568.6211,486.531,116.400.000.000.000.001.300.00
2024-12-3115,940.3114,652.841,271.170.000.000.000.0065.490.00
2024-09-3020,719.1417,910.441,469.140.000.000.000.00384.870.00
2024-06-3023,136.3017,505.195,713.760.000.000.000.001.480.00
2024-03-3127,025.3922,522.204,743.360.000.000.000.0021.150.00
2023-12-3136,923.4233,033.154,016.240.000.000.000.0035.430.00
2023-09-3036,874.6530,166.983,163.690.000.000.000.0081.880.00
2023-06-3036,864.7534,412.792,392.560.000.000.000.00172.060.00
2023-03-3154,387.1446,086.698,547.870.000.000.000.0083.820.00
2022-12-3162,699.1634,443.2428,458.170.000.000.000.003.900.00