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基金业绩

基金费率

投资组合

基金概况

财务数据

银华鑫锐灵活配置混合(LOF)A(161834)

2025-01-27     1.53200.0653%
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
2024-12-31110,780.4392,262.0924,637.570.000.000.000.0018,623.020.00
2024-09-30188,150.45147,929.7232,217.010.000.000.000.008,376.250.00
2024-06-30194,256.40163,622.8230,382.790.000.000.000.00824.920.00
2024-03-31240,724.29201,847.5539,342.110.000.000.000.00520.170.00
2023-12-31266,745.23241,999.6322,637.960.000.000.000.002,719.800.00
2023-09-30302,356.93266,433.6636,596.850.000.000.000.00880.040.00
2023-06-30314,800.29258,395.4359,963.930.000.000.000.00171.110.00
2023-03-31399,210.43308,967.2539,620.410.000.000.000.00965.350.00
2022-12-31320,613.92286,493.4549,177.340.000.000.000.00641.970.00
2022-09-30413,496.07312,313.7135,875.53136.060.0029,719.550.00240.040.00
2022-06-30568,483.03468,563.4086,636.480.000.0037,827.930.002,007.110.00
2022-03-31673,254.08551,399.7399,533.050.000.0037,572.790.00471.000.00
2021-12-31464,310.42366,775.2334,151.170.000.000.000.0065,904.780.00
2021-09-30195,645.30137,738.0562,235.730.000.000.000.003,814.150.00
2021-06-3066,115.6549,549.6219,014.930.000.000.000.001,645.970.00
2021-03-3151,636.9042,449.348,915.710.000.000.000.00481.560.00
2020-12-3150,805.5340,753.9611,808.12511.160.000.000.0037.210.00
2020-09-3035,733.9828,582.667,912.330.000.000.000.00141.260.00
2020-06-3027,898.4119,595.686,815.571,501.610.000.000.001,184.120.00
2020-03-3132,771.4325,622.365,124.190.000.000.000.002,227.080.00
2019-12-3140,212.2629,177.6610,765.060.000.000.000.00474.290.00
2019-09-3044,420.2123,747.2020,889.810.000.000.000.0020.420.00
2019-06-30131,026.6455,407.4275,864.950.000.000.000.0018.940.00
2019-03-31137,280.2172,351.0365,195.900.000.000.000.0014.050.00
2018-12-31122,206.5459,904.4562,545.790.000.000.000.0014.430.00