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基金业绩

基金费率

投资组合

基金概况

财务数据

东方鑫享价值成长一年持有期混合A(011458)

2024-12-11     0.5806-0.0688%
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
2024-09-3014,745.6713,677.941,673.230.000.000.000.00118.230.00
2024-06-3013,481.4112,095.461,819.440.000.000.000.0014.350.00
2024-03-3115,138.0613,783.431,412.720.000.000.000.0079.230.00
2023-12-3116,784.0914,382.922,605.890.000.000.000.0034.090.00
2023-09-3019,202.7117,497.641,763.320.000.000.000.00436.770.00
2023-06-3026,626.0222,165.406,059.820.000.000.000.0025.940.00
2023-03-3128,022.1926,084.832,765.940.000.000.000.0022.400.00
2022-12-3134,745.4030,535.144,219.350.000.000.000.00297.190.00
2022-09-3034,617.4229,158.675,956.130.000.000.000.0045.220.00
2022-06-3043,667.3940,792.453,682.700.000.000.000.00795.850.00
2022-03-3146,890.8937,973.2011,880.310.000.000.000.0030.080.00
2021-12-3159,973.4652,801.156,866.280.000.000.000.00531.200.00
2021-09-3030,503.9627,372.552,494.950.000.000.000.00800.950.00