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基金业绩

基金费率

投资组合

基金概况

财务数据

金鹰灵活配置混合A类(210010)

2024-12-02     1.66830.5970%
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
2024-09-3011,295.345,656.95709.5277.6210,274.603,559.360.00335.010.00
2024-06-3010,919.674,263.981,873.5877.7010,246.424,064.640.0069.310.00
2024-03-3111,680.364,591.69650.0571.8010,197.025,088.100.0033.710.00
2023-12-3112,117.654,807.45675.7767.8810,147.395,079.880.004.070.00
2023-09-3013,269.175,156.96884.8868.0410,384.603,050.100.006.610.00
2023-06-3014,599.284,898.632,091.5067.2510,340.423,037.960.0030.250.00
2023-03-3115,785.815,371.962,525.0672.1717,787.703,062.040.0039.950.00
2022-12-3118,914.766,115.482,760.1468.8119,561.845,087.610.0027.090.00
2022-09-3033,240.428,237.512,537.6673.2216,841.5115,466.580.0017.800.00
2022-06-3041,251.5510,347.412,921.7172.8840,640.9128,688.810.001,469.890.00
2022-03-3161,503.9314,351.864,416.0627.0241,400.2644,816.880.00253.990.00
2021-12-3176,746.6718,225.131,313.5431.3440,510.0047,320.800.00811.090.00
2021-09-3070,464.5016,066.121,212.7954.2340,752.0043,196.300.00857.120.00
2021-06-3061,241.4914,288.23210.8140.90321,982.009,561.970.00859.620.00
2021-03-3143,043.6910,528.64174.7123.31200,441.0013,648.510.00631.520.00
2020-12-3184,374.0121,314.75877.0429.3840,674.0053,665.260.001,074.930.00
2020-09-3054,198.1515,690.821,025.2921.1340,674.0028,029.800.00419.780.00
2020-06-3040,869.8212,932.04183.8928.7141,222.0017,173.800.00529.220.00
2020-03-3138,416.399,017.30426.07116.2840,850.0017,225.800.003,626.670.00
2019-12-3138,545.979,264.451,008.24133.010.0017,056.300.00449.720.00
2019-09-3037,354.927,928.57671.360.005,000.5017,046.400.00520.950.00
2019-06-306,464.391,155.93380.160.005,002.000.000.0085.730.00
2019-03-316,445.501,198.331,630.019.505,000.00340.030.0066.840.00
2018-12-3141,049.408,880.82344.78305.43164,825.405,008.300.00675.690.00
2018-09-3043,082.776,756.10306.4091.00164,189.805,010.100.00658.880.00