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基金业绩

基金费率

投资组合

基金概况

财务数据

国投瑞银新机遇混合A(000556)

2024-11-22     2.3474-0.2380%
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
2024-09-307,479.68435.464,162.310.000.001,029.480.001,186.260.00
2024-06-307,646.14479.945,173.050.000.001,024.270.0021.590.00
2024-03-318,253.23547.235,367.810.000.001,015.030.0014.150.00
2023-12-318,493.54753.295,145.130.000.001,133.970.004.940.00
2023-09-3013,648.251,478.511,883.320.0010,211.426,198.520.0046.870.00
2023-06-3014,931.441,561.461,575.520.0010,178.416,246.820.001,116.890.00
2023-03-3135,455.237,504.453,768.720.0020,424.1514,300.620.00898.640.00
2022-12-3144,633.689,463.405,272.230.0030,584.9921,321.260.0015.090.00
2022-09-3059,541.9112,572.655,045.631,104.4450,711.1129,846.160.0028.560.00
2022-06-3077,954.1013,846.926,411.46546.9087,893.3037,997.020.003,532.080.00
2022-03-3177,653.8113,834.5930,740.660.00148,607.6015,445.850.0021.780.00
2021-12-3177,772.6513,503.9723,734.710.00185,895.5015,355.080.00760.150.00
2021-09-3070,207.7113,424.7015,546.730.00186,345.0015,336.160.001,208.200.00
2021-06-3066,569.6513,131.534,815.500.00196,811.0015,259.190.001,612.880.00
2021-03-3164,261.0012,932.384,529.480.00197,222.0015,160.170.00932.950.00
2020-12-3173,424.7413,390.305,721.900.00177,032.5018,312.600.00918.580.00
2020-09-3016,496.4013,269.903,278.600.000.000.000.0018.920.00
2020-06-3011,019.809,942.801,011.440.000.000.000.00176.380.00
2020-03-319,178.628,455.04742.370.000.000.000.0030.210.00
2019-12-319,435.998,343.271,177.010.000.000.000.0017.270.00
2019-09-309,013.737,643.581,235.040.000.000.000.00209.800.00
2019-06-308,038.347,462.08748.280.000.000.000.0021.450.00
2019-03-317,642.305,710.072,001.990.000.000.000.0017.610.00
2018-12-316,581.20894.362,902.800.000.001,135.660.0050.310.00
2018-09-307,327.234,022.981,821.670.000.00345.160.00126.380.00