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基金业绩

基金费率

投资组合

基金概况

财务数据

鹏华弘安混合C(002019)

2024-11-22     1.43360.0140%
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
2024-09-30211,319.330.007,059.470.0018,788.2031,361.730.00680.890.00
2024-06-30237,074.780.002,643.760.0018,791.3068,385.820.006,583.800.00
2024-03-31132,173.280.00402.000.000.0015,717.820.006,427.570.00
2023-12-3143,434.970.00151.410.000.0010,943.570.00495.550.00
2023-09-3044,045.500.00118.780.000.003,454.180.00509.150.00
2023-06-3042,928.310.00161.230.000.0024,943.650.001,283.150.00
2023-03-312,681.360.00376.490.000.002,306.690.008.600.00
2022-12-311,350.780.00209.650.000.001,164.450.008.510.00
2022-09-3027,587.103,778.592,007.6987.07113,194.249,370.170.001,009.250.00
2022-06-3041,654.519,024.041,654.7888.26204,592.5821,630.770.00107.480.00
2022-03-3156,452.6910,361.071,441.95175.41213,711.8331,742.740.00157.390.00
2021-12-3159,488.4812,715.271,590.48249.95261,907.0031,409.900.00671.220.00
2021-09-3067,325.4413,077.262,182.10192.55231,363.0028,301.300.001,153.840.00
2021-06-3059,381.3913,457.033,407.02189.53231,557.0028,217.300.00961.850.00
2021-03-3177,051.6511,843.593,165.1261.20412,387.0032,185.600.001,006.670.00
2020-12-3179,037.2115,279.822,906.350.00472,628.0033,202.000.001,357.390.00
2020-09-3084,362.5017,183.632,930.920.00503,406.0030,070.000.001,744.720.00
2020-06-30109,838.5017,531.2110,125.050.00718,972.0028,395.500.001,835.710.00
2020-03-3196,459.9512,794.283,979.1468.37721,857.0026,579.800.001,104.170.00
2019-12-3194,389.5416,075.092,029.6391.24757,179.0023,236.800.001,793.910.00
2019-09-3095,376.5419,956.741,772.5813.00584,181.0023,187.700.001,846.210.00
2019-06-3090,391.5616,561.281,961.59154.48591,848.0027,108.900.006,801.060.00
2019-03-3190,154.645,978.902,218.98162.72652,384.0028,276.210.001,286.240.00
2018-12-3187,115.117,617.771,526.7435.05653,563.3524,182.000.001,400.620.00
2018-09-3087,786.6612,041.92687.3237.09402,859.2512,171.110.001,177.520.00