行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

华夏军工安全混合A(002251)

2025-06-27     1.54200.5215%
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
2025-03-31342,001.65322,799.4519,919.330.170.000.000.00383.680.00
2024-12-31350,721.72331,876.0120,099.000.140.000.000.00185.550.00
2024-09-30353,254.90331,892.1919,532.760.130.000.000.002,970.700.00
2024-06-30311,193.40294,294.2917,667.170.130.000.000.001,053.130.00
2024-03-31327,114.94309,927.7518,099.360.120.000.000.00234.410.00
2023-12-31371,241.12350,613.9021,527.380.130.000.000.00230.540.00
2023-09-30408,454.80387,819.8321,586.420.150.000.000.00222.640.00
2023-06-30467,256.69441,301.9727,225.700.170.000.000.001,487.710.00
2023-03-31460,576.72436,768.5528,905.750.190.000.000.002,182.810.00
2022-12-31531,836.30502,490.4832,687.040.180.000.000.001,064.600.00
2022-09-30543,026.97513,651.6332,403.880.210.000.000.001,719.800.00
2022-06-30482,509.62456,935.1828,421.120.240.000.000.003,932.430.00
2022-03-31447,755.14424,077.5224,903.320.230.000.000.00559.400.00
2021-12-31533,379.05506,186.2630,824.520.380.000.000.007,288.950.00
2021-09-30465,531.50440,741.5425,412.260.330.000.000.004,535.540.00
2021-06-30498,079.93472,000.2429,556.941,529.040.000.000.004,293.970.00
2021-03-31376,168.33357,203.2423,015.430.240.000.000.001,224.960.00
2020-12-31264,738.54251,125.1218,279.840.290.000.000.006,037.970.00
2020-09-30201,780.63190,451.3113,348.670.180.000.000.001,268.130.00
2020-06-3045,055.4242,693.364,723.780.130.000.000.00866.430.00
2020-03-3147,201.2743,882.313,428.640.000.000.000.00159.400.00
2019-12-3157,695.6854,493.463,728.040.000.000.000.00758.350.00
2019-09-3052,570.5548,487.014,111.330.000.000.000.00502.070.00
2019-06-3041,602.0138,986.073,266.970.000.000.000.00226.850.00
2019-03-3145,248.4842,547.922,968.880.000.000.000.00233.030.00