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基金业绩

基金费率

投资组合

基金概况

财务数据

鑫元添鑫回报6个月持有期混合C(017620)

2024-12-10     1.04680.3066%
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
2024-09-3037,988.807,531.414,153.5660.8010,353.1526,921.890.00423.680.00
2024-06-3040,047.346,838.957,899.7260.38102,542.6816,528.280.007.000.00
2024-03-3152,477.429,817.517,841.280.00194,066.7014,294.070.00309.610.00
2023-12-3162,891.8011,978.8532.950.00183,018.5317,220.980.00187.170.00
2023-09-3078,510.9512,938.42856.970.00292,443.9616,110.730.002,406.190.00
2023-06-30105,852.3715,241.611,103.190.00291,005.0325,248.260.004.200.00