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基金业绩

基金费率

投资组合

基金概况

财务数据

富国新回报灵活配置混合C(000843)

2024-12-02     1.67500.5402%
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
2024-09-305,928.051,773.322,200.7458.390.002,133.470.001.570.00
2024-06-305,800.331,193.461,107.1358.170.003,163.150.00302.000.00
2024-03-318,361.872,033.214,111.6654.900.002,177.460.002.530.00
2023-12-3117,648.672,295.75377.9453.6231,034.895,292.310.001,504.000.00
2023-09-3023,686.402,252.201,569.5753.1330,770.725,251.530.004,010.240.00
2023-06-3026,012.333,461.555,756.9152.8920,528.933,177.970.008.870.00
2023-03-3127,703.675,980.689,361.1651.3323,992.098,473.130.004.100.00
2022-12-3131,752.326,684.894,010.0850.2123,872.7213,603.360.004.920.00
2022-09-3046,164.617,116.244,392.5554.4523,890.0014,612.640.005,004.360.00
2022-06-3038,802.7410,914.476,859.1640.6724,326.9713,756.640.002.460.00
2022-03-3143,171.981,581.7119,734.170.0029,431.7313,634.530.002.010.00
2021-12-3123,916.982,192.6620,551.590.008,571.340.000.0031.280.00
2021-09-306,931.95321.886,629.090.000.000.000.0034.240.00
2021-06-301,053.9131.091,099.020.000.000.000.0027.250.00
2021-03-3160,608.8451,496.334,224.8224.590.004,036.550.00912.440.00
2020-12-3164,824.0955,549.554,400.148.300.004,040.300.00889.180.00
2020-09-3060,528.9251,350.144,418.950.890.004,052.000.00779.730.00
2020-06-3055,486.3647,358.673,696.1639.090.003,709.050.00737.130.00
2020-03-3145,802.0638,829.352,696.3521.250.003,729.600.00576.720.00
2019-12-3146,127.7339,077.002,230.889.720.004,250.740.00613.360.00
2019-09-3042,560.5935,982.131,633.329.470.004,264.260.00752.730.00
2019-06-301,766.29189.211,337.350.000.00274.440.009.800.00
2019-03-311,897.69153.17687.8285.940.00364.300.0019.900.00
2018-12-311,924.9392.18506.06611.030.00364.710.0017.130.00
2018-09-3011,597.721,499.385,009.4058.680.00527.120.0020.650.00