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基金业绩

基金费率

投资组合

基金概况

财务数据

大成睿景灵活配置混合C(001301)

2024-11-20     1.97800.4061%
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
2024-09-30324,058.73306,674.9418,165.300.000.000.000.001,014.140.00
2024-06-30325,329.17304,348.2721,402.140.000.000.000.001,516.840.00
2024-03-31321,426.50301,457.9918,941.800.000.000.000.001,784.110.00
2023-12-31327,640.48308,693.1019,440.030.000.000.000.00268.840.00
2023-09-30407,374.98381,055.1327,314.100.000.000.000.00263.140.00
2023-06-30440,026.04411,648.5726,306.970.000.000.000.003,558.550.00
2023-03-31574,157.35533,888.7739,233.85755.850.000.000.002,648.280.00
2022-12-31522,456.85482,193.5242,271.011,840.440.000.000.00994.190.00
2022-09-30571,500.62519,827.2160,643.59381.730.000.000.007,362.810.00
2022-06-30694,118.45631,212.0264,825.080.000.000.000.007,028.430.00
2022-03-31671,016.05603,179.4271,013.943,003.250.000.000.005,829.420.00
2021-12-31674,745.07612,212.6472,973.43493.040.000.000.008,591.850.00
2021-09-30533,864.63481,508.1957,096.16480.710.000.000.007,791.160.00
2021-06-30224,063.08198,507.0527,832.73416.700.000.000.001,358.930.00
2021-03-31183,266.66161,102.9821,617.940.000.000.000.002,234.060.00
2020-12-31160,638.76147,414.9510,875.890.000.000.000.005,630.530.00
2020-09-30282,155.98255,757.0624,594.630.000.000.000.004,262.400.00
2020-06-3091,187.1282,605.348,618.410.000.000.000.001,539.830.00
2020-03-3181,006.3972,912.028,455.710.000.000.000.00158.390.00
2019-12-3190,982.1467,976.3223,172.220.000.000.000.00127.120.00
2019-09-3088,045.6067,614.0320,759.647.520.000.000.00141.370.00
2019-06-3087,746.0176,552.5914,873.526.830.000.000.00142.200.00
2019-03-3195,747.8879,363.5820,515.085.300.000.000.00171.590.00
2018-12-3178,184.1956,939.4625,159.04202.620.000.000.00175.890.00
2018-09-3084,131.4767,022.5911,118.330.000.000.000.006,717.910.00