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基金业绩

基金费率

投资组合

基金概况

财务数据

光大保德信风格轮动混合A(002305)

2024-12-17     1.2180-1.6155%
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
2024-09-301,836.261,660.02218.350.000.000.000.002.520.00
2024-06-301,709.221,543.53209.610.000.000.000.002.830.00
2024-03-314,323.103,908.60456.140.000.000.000.003.660.00
2023-12-3110,577.869,694.20960.030.000.000.000.004.770.00
2023-09-3011,766.1810,649.101,165.890.000.000.000.005.230.00
2023-06-3010,849.7310,015.08907.910.000.000.000.003.960.00
2023-03-3122,356.7220,397.142,061.730.000.000.000.004.590.00
2022-12-3119,982.6118,122.901,947.721.410.000.000.004.120.00
2022-09-3024,332.9022,205.932,168.616.500.000.000.00502.240.00
2022-06-3028,314.1326,012.712,419.150.000.000.000.00261.830.00
2022-03-3139,907.1236,292.033,617.720.000.000.000.001,754.410.00
2021-12-3144,146.0040,078.414,252.650.000.000.000.0059.960.00
2021-09-3048,089.2943,251.004,878.620.000.000.000.002,335.850.00
2021-06-3028,241.7525,811.472,392.280.000.000.000.00175.720.00
2021-03-3113,757.0012,315.312,477.3629.450.000.000.0010.250.00
2020-12-3129,143.8026,676.312,261.9732.340.000.000.00543.830.00
2020-09-3031,929.2329,315.013,160.6172.850.000.000.00453.370.00
2020-06-3032,165.7329,569.802,491.5354.760.000.000.00699.460.00
2020-03-3131,550.7628,500.193,254.840.000.000.000.00335.550.00
2019-12-3130,898.5427,690.803,440.360.000.000.000.00462.140.00
2019-09-3028,753.7425,813.032,979.000.000.000.000.00128.580.00
2019-06-309,075.037,650.991,433.900.000.000.000.0099.460.00
2019-03-319,629.078,901.52746.090.000.000.000.0099.330.00
2018-12-315,379.674,623.83780.863.340.000.000.001.700.00
2018-09-306,199.805,577.10655.403.380.000.000.0023.540.00