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基金费率

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海富通安颐收益混合C(002339)

2024-11-20     1.28630.1869%
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
2024-09-3011,799.102,723.042,955.24737.0815,746.683,303.430.00130.120.00
2024-06-3012,575.903,117.052,408.48331.1131,056.793,335.460.0036.220.00
2024-03-3113,321.443,380.813,056.670.0040,931.452,726.010.0053.330.00
2023-12-3114,178.483,731.823,802.3910.6035,450.013,184.030.008.680.00
2023-09-3016,280.124,197.763,988.4521.6635,614.423,179.200.0017.100.00
2023-06-3018,713.275,082.854,035.7673.7135,835.933,183.030.00456.810.00
2023-03-3120,364.435,456.575,463.8355.4630,504.852,523.260.007.300.00
2022-12-3124,152.015,741.935,752.793.0924,419.709,059.530.00109.330.00
2022-09-3049,655.4611,381.917,006.3445.4034,892.5715,577.120.00433.860.00
2022-06-3063,043.8115,512.182,325.9641.8514,344.6420,121.790.0041.830.00
2022-03-3175,072.6517,737.501,927.8697.0834,553.1221,070.520.00806.530.00
2021-12-31169,588.7139,711.8920,011.93147.3338,068.0039,210.190.001,898.940.00
2021-09-3077,387.3617,763.0810,095.1897.5078,639.0014,297.650.001,096.190.00
2021-06-30102,266.4921,531.5912,915.20205.7698,426.0017,171.400.002,106.560.00
2021-03-31116,607.1921,672.4412,112.81277.4477,447.006,996.100.001,385.140.00
2020-12-3199,851.8922,622.967,808.68213.96115,729.007,076.820.001,765.070.00
2020-09-3095,317.4518,185.346,812.43313.16106,124.005,012.280.001,296.730.00
2020-06-3059,865.4113,545.73582.91238.8594,787.006,002.690.004,296.730.00
2020-03-3138,469.389,297.412,720.81235.95108,117.503,314.720.00663.900.00
2019-12-3152,516.3812,893.71620.971,015.58184,448.144,686.480.001,050.880.00
2019-09-3048,312.259,803.732,317.62473.27159,643.737,947.500.001,058.910.00
2019-06-3038,700.208,133.201,646.41404.9394,081.543,965.700.003,991.660.00
2019-03-3126,730.017,813.12684.24397.26108,356.983,523.240.00530.320.00
2018-12-3126,419.468,813.461,228.44560.46107,847.193,465.560.00454.310.00
2018-09-3051,122.9710,022.81890.39540.52201,781.034,004.100.001,695.600.00