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基金业绩

基金费率

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财务数据

长安鑫利优选混合A(001281)

2024-11-22     1.2552-2.5617%
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
2024-09-301,482.141,297.73215.860.000.000.000.0045.740.00
2024-06-301,421.021,144.04321.660.000.000.000.0025.530.00
2024-03-311,493.491,144.95441.740.000.000.000.001.890.00
2023-12-311,510.221,301.28354.220.000.000.000.002.000.00
2023-09-301,636.211,305.33199.580.000.000.000.002.620.00
2023-06-301,989.041,588.58478.580.000.000.000.003.890.00
2023-03-312,127.661,799.36364.070.000.000.000.005.090.00
2022-12-312,160.531,690.49203.490.000.000.000.0018.250.00
2022-09-302,321.681,870.45191.730.000.000.000.005.240.00
2022-06-302,817.762,322.04536.940.000.000.000.0076.140.00
2022-03-312,593.062,183.45421.880.000.000.000.0058.140.00
2021-12-313,245.362,826.87230.770.000.000.000.006.260.00
2021-09-303,345.272,989.58209.530.000.000.000.00177.000.00
2021-06-303,668.723,093.37735.280.000.000.000.0013.550.00
2021-03-313,413.412,545.06920.466.000.000.000.0062.330.00
2020-12-314,062.273,306.39827.970.000.000.000.0013.710.00
2020-09-303,759.242,984.03893.960.000.000.000.006.040.00
2020-06-303,647.822,489.371,168.873.910.000.000.00107.540.00
2020-03-313,431.042,428.761,201.703.740.000.000.0019.170.00
2019-12-314,515.423,619.42962.350.000.000.000.0013.980.00
2019-09-305,198.223,404.42484.050.000.000.000.0025.330.00
2019-06-305,977.114,112.11571.7140.540.000.000.00136.730.00
2019-03-316,357.744,047.25525.0443.230.000.000.0078.200.00
2018-12-318,118.772,779.632,092.2140.540.000.000.0062.120.00
2018-09-307,798.014,693.753,112.4544.810.000.000.0028.180.00