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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏消费优选混合A(011911)

2024-12-03     0.5735-0.5549%
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
2024-09-3047,444.9043,780.266,450.800.060.000.000.00147.780.00
2024-06-3045,087.4436,389.658,361.8268.330.000.000.00369.510.00
2024-03-3148,735.1244,455.994,368.5370.360.000.000.00159.980.00
2023-12-3151,073.4646,245.894,644.9274.040.000.000.00270.720.00
2023-09-3056,659.0449,864.277,254.69100.190.000.000.00138.890.00
2023-06-3058,762.0653,694.265,100.0165.860.000.000.00111.990.00
2023-03-3166,872.8660,473.117,249.9133.820.000.000.00180.210.00
2022-12-3165,424.9858,770.975,792.5848.640.000.000.00977.950.00
2022-09-3068,054.4359,845.278,301.3950.510.000.000.0032.630.00
2022-06-3080,901.2174,084.286,851.9439.260.000.000.00158.940.00
2022-03-3171,805.3059,007.4113,007.440.050.000.000.0064.790.00
2021-12-3197,361.2290,810.567,239.750.050.000.000.0060.870.00
2021-09-30104,020.0993,418.7310,988.6352.440.000.000.0078.190.00