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基金业绩

基金费率

投资组合

基金概况

财务数据

富安达新兴成长混合A(000755)

2025-01-27     0.6164-1.3444%
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
2024-12-316,400.495,614.631,247.750.000.000.000.005.060.00
2024-09-307,575.556,977.83741.910.000.000.000.0044.920.00
2024-06-307,812.276,926.66814.230.000.000.000.00154.680.00
2024-03-318,577.827,806.02962.690.000.000.000.0011.430.00
2023-12-319,825.698,753.481,647.390.000.000.000.0024.660.00
2023-09-3010,568.828,828.481,959.110.000.000.000.0021.020.00
2023-06-3014,513.0913,119.902,109.460.000.000.000.0027.490.00
2023-03-3113,155.5811,521.511,727.250.000.000.000.00115.150.00
2022-12-316,948.315,672.461,189.640.000.000.000.00255.290.00
2022-09-307,046.726,072.53768.150.000.000.000.00357.270.00
2022-06-308,189.107,478.231,032.500.000.000.000.00529.950.00
2022-03-317,464.846,586.73884.750.000.000.000.00120.740.00
2021-12-3111,157.9210,079.021,173.660.000.000.000.0042.190.00
2021-09-3011,029.909,257.021,729.220.000.000.000.00235.530.00
2021-06-3012,914.6412,011.291,125.690.000.000.000.00278.210.00
2021-03-3111,100.729,966.981,643.870.000.000.000.00121.690.00
2020-12-3112,952.2012,043.771,291.860.000.000.000.00213.340.00
2020-09-3015,356.8614,039.48672.080.000.00792.560.0084.820.00
2020-06-3020,257.2218,810.912,875.690.000.000.000.00509.990.00
2020-03-3120,481.3217,253.984,931.110.000.000.000.00643.650.00
2019-12-3116,128.0414,825.421,664.530.000.000.000.00199.020.00
2019-09-3016,352.5514,604.862,060.400.000.000.000.0092.130.00
2019-06-3019,888.6917,499.852,392.400.000.000.000.00419.550.00
2019-03-3115,787.7014,681.531,534.100.000.000.000.00401.530.00
2018-12-3110,774.265,794.834,673.150.000.000.000.00446.410.00