行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

前海开源新兴产业混合C(014729)

2025-07-18     0.95080.7417%
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
2025-03-3121,861.0020,518.711,754.300.000.000.000.0011.690.00
2024-12-3122,586.8621,229.861,693.390.000.000.000.009.450.00
2024-09-3025,038.1923,383.291,694.950.000.000.000.0059.200.00
2024-06-3023,628.8322,221.161,582.190.000.000.000.0026.950.00
2024-03-3126,071.5519,241.406,940.160.000.000.000.0025.800.00
2023-12-3175,896.2471,545.214,524.600.000.000.000.0022.410.00
2023-09-3077,176.5872,605.044,708.370.000.000.000.0049.910.00
2023-06-3087,596.1075,193.5814,981.850.000.000.000.00903.140.00
2023-03-3186,550.4681,777.844,983.750.000.000.000.0037.550.00
2022-12-3183,472.6475,224.317,760.18656.890.000.000.0060.860.00
2022-09-3083,254.3978,231.855,271.860.000.000.000.00175.740.00
2022-06-30104,507.9691,205.6021,493.490.000.000.000.002,927.700.00
2022-03-3161,791.7757,856.773,979.13136.610.000.000.00158.260.00
2021-12-3178,451.6769,961.8410,374.300.000.000.000.001,678.770.00