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基金业绩

基金费率

投资组合

基金概况

财务数据

工银总回报灵活配置混合A(001140)

2025-04-16     1.8910-0.5260%
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
2024-12-3137,964.6729,161.912,670.60391.920.000.000.00112.580.00
2024-09-3038,516.5523,950.395,463.48369.210.000.000.0021.450.00
2024-06-3036,264.9319,259.653,888.36376.440.000.000.00122.880.00
2024-03-3137,314.0720,505.193,471.06348.300.000.000.0013,087.070.00
2023-12-3137,337.3420,243.455,990.66352.360.000.000.0011,117.850.00
2023-09-3039,884.6119,770.2919,681.44377.740.000.000.00217.540.00
2023-06-3042,563.7327,411.9515,315.15373.490.000.000.0020.930.00
2023-03-3144,548.7624,818.9519,010.40370.070.000.000.00709.310.00
2022-12-3144,319.3036,110.967,107.42449.000.000.000.00837.330.00
2022-09-3061,518.2548,948.5911,994.02484.260.000.000.00311.000.00
2022-06-3077,077.3568,167.968,228.66496.000.000.000.00858.940.00
2022-03-3178,047.7469,853.718,157.74523.990.000.000.0054.650.00
2021-12-3198,649.0872,927.5326,025.98782.530.000.000.0044.120.00
2021-09-3075,703.9162,762.9012,414.28816.630.000.000.00415.350.00
2021-06-3073,371.7758,643.8713,861.08637.460.000.000.00878.240.00
2021-03-3160,636.6454,615.765,744.49396.920.000.000.00159.130.00
2020-12-3168,197.0760,500.798,090.4494.770.000.000.00264.070.00
2020-09-3049,607.8641,678.158,095.7483.000.000.000.0038.000.00
2020-06-3055,922.4241,363.9212,585.84134.890.002,202.200.0068.310.00
2020-03-3155,346.2036,601.755,508.1484.030.002,237.400.001,253.580.00
2019-12-3171,367.1559,266.375,179.4983.200.002,167.600.00226.410.00
2019-09-3079,680.9041,580.3632,179.0380.390.004,311.200.002,051.900.00
2019-06-3091,483.3046,237.0614,215.4679.210.004,300.400.0012,142.390.00
2019-03-3196,306.5468,148.695,037.3882.660.007,323.900.004,832.540.00
2018-12-3183,474.6329,944.463,214.30771.320.0012,814.720.0036,991.660.00