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基金业绩

基金费率

投资组合

基金概况

财务数据

国富新机遇混合A(002087)

2024-12-17     1.6240-0.1230%
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
2024-09-3042,112.164,111.387,009.82778.8046,040.8720,873.831,853.46778.910.00
2024-06-3043,645.954,960.496,303.001,063.23105,962.5515,729.690.00111.230.00
2024-03-3141,452.565,180.696,179.091,281.0491,984.6017,462.390.0061.830.00
2023-12-3152,725.935,160.779,839.591,741.94108,186.9823,512.640.00167.350.00
2023-09-3063,703.008,333.9811,182.351,872.93103,098.1115,561.980.00139.930.00
2023-06-3076,343.5510,472.348,375.782,468.55127,441.1825,161.330.00174.050.00
2023-03-3190,970.3816,630.9113,908.742,810.50224,748.5625,474.580.0083.240.00
2022-12-31122,011.4820,346.4218,576.561,531.19248,470.3750,115.730.00938.870.00
2022-09-30162,205.1025,015.9923,791.12998.47369,265.1645,614.610.00268.390.00
2022-06-30155,377.8027,871.6312,006.201,035.11392,469.2850,885.360.002,158.670.00
2022-03-31164,014.9424,646.5011,905.28895.37349,831.3135,431.560.001,353.710.00
2021-12-31159,351.4927,317.3827,090.79425.09352,518.9634,959.580.006,752.390.00
2021-09-30120,669.2818,926.1013,736.25279.49341,825.9435,292.920.002,068.740.00
2021-06-30108,417.6017,836.3314,659.41248.37200,591.1732,282.600.001,569.510.00
2021-03-3192,555.2316,998.8311,284.63149.39151,008.0011,589.480.005,672.820.00
2020-12-3182,005.6717,924.058,941.0960.44160,681.708,096.510.001,157.260.00
2020-09-3065,511.4015,409.5611,614.9210.4581,587.302,170.270.00446.730.00
2020-06-3046,656.2415,091.716,073.3624.2981,412.006,506.500.009,652.070.00
2020-03-3136,244.338,682.304,128.4561.0281,893.009,697.480.00591.960.00
2019-12-3137,221.559,823.212,183.5148.3063,878.161,914.250.00464.800.00
2019-09-3035,997.069,841.004,065.029.8495,314.003,365.020.00448.750.00
2019-06-3028,458.078,631.383,282.158.2081,151.0012,325.960.00687.140.00
2019-03-3127,043.565,162.621,228.430.0066,146.0012,733.460.00641.580.00
2018-12-3125,960.594,691.572,981.430.0070,981.0011,028.820.00521.010.00
2018-09-3036,640.666,372.15896.810.00105,208.805,977.200.00510.430.00