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基金费率

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基金概况

财务数据

博时裕隆混合C(013410)

2025-05-30     3.3450-0.4168%
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
2025-03-31100,843.7379,308.327,208.3916.830.000.000.001,053.480.00
2024-12-3199,823.4084,115.767,102.52420.590.002,243.680.0028.420.00
2024-09-30133,070.58115,019.118,928.2916.010.002,233.060.005,373.560.00
2024-06-30121,791.1191,660.868,433.4216.040.002,223.980.0026.300.00
2024-03-31130,370.92107,326.158,701.1915.500.000.000.00246.600.00
2023-12-31148,181.32122,912.984,678.9616.060.006,034.420.0049.270.00
2023-09-30153,889.20131,398.4110,460.9417.350.000.000.0063.990.00
2023-06-30165,401.34144,122.4911,717.97190.970.000.000.002,133.440.00
2023-03-31182,987.35157,597.7814,556.69216.610.000.000.0045.390.00
2022-12-31191,437.51166,476.1515,481.12197.930.000.000.00243.170.00
2022-09-30186,648.34156,301.4015,030.70168.390.000.000.002,697.310.00
2022-06-30216,400.44198,729.0118,487.10491.850.000.000.004,527.610.00
2022-03-31214,596.15173,065.4814,650.0043.370.000.000.004,755.770.00
2021-12-31237,281.99208,442.3014,743.2436.770.000.000.00139.900.00
2021-09-30231,284.87185,660.0020,013.6635.810.000.000.00236.240.00