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基金业绩

基金费率

投资组合

基金概况

财务数据

银河鸿利混合C(519641)

2022-12-27     1.02900.0000%
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
2022-09-30398.750.00350.1850.700.000.000.000.040.00
2022-06-30433.6920.08312.400.000.000.000.002.790.00
2022-03-31441.7621.01264.280.000.000.000.000.060.00
2021-12-31450.790.00453.370.000.000.000.000.450.00
2021-09-30495.480.00498.430.000.000.000.000.230.00
2021-06-30577.590.00579.190.000.000.000.001.380.00
2021-03-31672.910.00687.360.000.000.000.001.620.00
2020-12-31816.330.00841.280.000.000.000.001.670.00
2020-09-30983.530.00997.380.000.000.000.006.840.00
2020-06-3022,370.2917.60474.540.000.001,141.610.00326.600.00
2020-03-3150,171.927,947.11480.158.95171,026.5016,298.500.00841.670.00
2019-12-3153,474.328,828.493,971.790.00183,728.2510,077.000.001,637.990.00
2019-09-3062,349.868,638.936,951.100.00144,190.2517,150.900.00987.680.00
2019-06-3060,973.0910,167.911,083.200.00153,311.7513,141.200.00715.790.00
2019-03-3160,630.488,105.253,854.2066.10143,474.2510,354.720.00831.660.00
2018-12-3160,541.551,272.073,243.260.0052,829.7543,536.880.001,369.570.00
2018-09-3060,094.412,670.443,842.580.0052,496.758,077.000.00869.480.00
2018-06-3059,858.634,673.07161.760.0051,751.254,010.300.001,469.050.00
2018-03-3159,424.289,866.31222.740.0051,509.753,999.600.00834.740.00
2017-12-3180,305.489,363.041,565.8147.7251,101.254,990.000.00757.570.00
2017-09-3092,180.787,031.46569.7256.8651,668.254,990.000.00370.940.00
2017-06-30113,395.939,068.702,568.350.0031,600.006,969.900.00327.830.00
2017-03-31113,712.9011,082.052,988.71549.9031,524.257,995.200.00473.020.00
2016-12-31116,415.7810,955.534,945.550.00206,008.5015,986.400.001,304.050.00
2016-09-30196,304.8212,973.1512,358.12445.53263,688.0019,023.700.002,573.210.00