天天基金网 > 基金档案 > 鑫元鑫新收益灵活配置混合C

扫一扫二维码

用手机打开页面

资产配置

报告期股票占净比债券占净比现金占净比净资产(亿元)
2024-09-3090.49%5.59%3.44%0.44
2024-06-3066.79%10.18%17.98%0.41
2024-03-3186.65%5.30%7.73%0.42
2023-12-3190.29%5.80%4.23%0.52
2023-09-3087.02%7.21%5.65%0.52
2023-06-3089.45%1.78%9.84%0.63
2023-03-3190.17%5.78%11.35%0.90
2022-12-3178.41%5.96%4.95%1.02
2022-09-3062.08%6.31%7.90%1.29
2022-06-3072.33%5.30%16.09%1.53
2022-03-3186.90%5.62%7.30%0.72
2021-12-3185.37%5.72%8.04%0.75
2021-09-3065.91%5.42%6.93%0.74
2021-06-3082.71%5.52%7.22%0.55
2021-03-3173.69%6.18%2.58%1.14
2020-12-3178.85%5.73%15.61%1.23
2020-09-3068.56%6.32%4.14%1.13
2020-06-3068.28%6.34%2.19%1.26
2020-03-3188.45%7.93%3.71%1.02
2019-12-3122.65%5.91%31.72%1.04
2019-09-3016.45%5.90%38.47%1.02
2019-06-3011.19%5.96%43.83%1.01
2019-03-3149.31%23.02%6.28%1.02
2018-12-3123.25%6.34%31.71%0.95
2018-09-307.64%28.40%24.22%0.95
2018-06-3055.60%40.37%1.87%0.95
2018-03-3124.54%49.33%17.61%1.52
2017-12-3118.97%76.28%2.78%3.59
2017-09-309.58%105.77%0.67%7.15
2017-06-3013.94%98.81%0.77%7.08
2017-03-3113.49%98.46%0.80%7.79
2016-12-314.72%66.19%1.27%7.72
2016-09-309.97%82.44%2.28%15.03
2016-06-309.79%94.13%1.04%15.06
2016-03-314.82%83.79%2.21%25.29
2015-12-311.02%65.37%0.46%25.13
2015-09-30---95.33%2.67%2.03
郑重声明:天天基金网发布此信息目的在于传播更多信息,与本网站立场无关。天天基金网不保证该信息(包括但不限于文字、数据及图表)全部或者部分内容的准确性、真实性、完整性、有效性、及时性、原创性等。相关信息并未经过本网站证实,不对您构成任何投资决策建议,据此操作,风险自担。数据来源:东方财富Choice数据。

将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

关于我们|资质证明|研究中心|联系我们|安全指引|免责条款|隐私条款|风险提示函|意见建议|在线客服|诚聘英才

天天基金客服热线:95021 |客服邮箱:vip@1234567.com.cn|人工服务时间:工作日 7:30-21:30 双休日 9:00-21:30
郑重声明:天天基金系证监会批准的基金销售机构[000000303]。天天基金网所载文章、数据仅供参考,使用前请核实,风险自负。
中国证监会上海监管局网址:www.csrc.gov.cn/pub/shanghai
CopyRight  上海天天基金销售有限公司  2011-现在  沪ICP证:沪B2-20130026  网站备案号:沪ICP备11042629号-1