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基金业绩

基金费率

投资组合

基金概况

财务数据

鑫元全利定期开放C(006083)

     0.00000.0000%
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
2025-12-3198,303.550.008,495.090.0084,184.9753,640.3610,186.360.000.00
2025-09-3097,749.370.0010,520.260.00104,089.7951,063.4810,160.370.000.00
2025-06-30100,154.330.0013,737.540.00108,135.4540,173.9915,824.180.010.00
2025-03-3199,033.050.005,326.320.00110,922.3936,010.4515,451.470.000.00
2024-12-3199,529.460.008,549.030.00110,712.7238,231.2510,705.860.120.00
2024-09-3098,837.390.003,198.300.00150,991.8554,949.2711,235.030.270.00
2024-06-3098,486.100.005,280.310.00163,837.7358,211.395,210.620.170.00
2024-03-31100,753.040.00336.920.00185,856.2363,131.035,103.370.080.00
2023-12-3199,504.930.00488.470.00183,401.8280,366.860.000.080.00
2023-09-30103,383.500.008,364.520.00141,646.2776,186.180.000.000.00
2023-06-30105,894.320.0010,280.790.00155,099.7884,600.400.001.130.00
2023-03-31105,577.180.00550.100.00155,817.7898,934.010.001.350.00
2022-12-31104,576.860.00380.830.00154,194.5799,229.240.000.290.00
2022-09-30105,044.670.003,619.480.00158,005.2390,984.390.000.000.00
2022-06-30103,874.370.003,391.200.00157,324.4085,007.880.000.260.00
2022-03-31102,638.700.00494.810.00178,135.4181,019.770.006,300.220.00
2021-12-31101,973.560.005,401.610.00175,846.0084,076.000.002,203.570.00
2021-09-30103,751.430.00256.850.00174,668.8095,115.800.002,205.530.00
2021-06-30102,533.930.00342.380.00171,594.7082,361.000.001,350.630.00
2021-03-31101,299.320.005,180.560.00162,073.6076,446.900.001,488.590.00
2020-12-31100,889.890.0078.900.00122,148.10100,818.250.002,205.800.00
2020-09-3099,375.020.00556.320.00122,429.1079,113.250.001,531.310.00
2020-06-30100,773.010.002,728.010.0092,574.40101,662.660.001,533.540.00
2020-03-31101,987.650.008,571.760.000.0032,162.730.001,170.010.00
2019-12-3121,706.730.001,019.990.000.0020,047.770.00665.220.00