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基金业绩

基金费率

投资组合

基金概况

财务数据

富国美丽中国混合A(002593)

2025-01-14     2.04202.1511%
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
2024-09-30129,328.2897,986.0130,313.470.000.000.000.001,426.390.00
2024-06-30119,516.6989,721.5420,852.440.000.009,379.410.0034.970.00
2024-03-31128,556.02107,657.9911,452.450.000.009,334.320.001,246.730.00
2023-12-31150,106.90125,025.7715,874.530.000.009,269.200.00515.150.00
2023-09-30173,832.32145,443.8814,440.960.000.009,214.200.00587.080.00
2023-06-30191,118.53153,646.4533,130.950.000.005,080.060.00130.860.00
2023-03-31237,049.56201,116.1628,835.280.000.0010,127.840.00133.060.00
2022-12-31255,585.12206,051.7240,484.270.000.0010,079.320.00218.950.00
2022-09-30295,520.16242,313.5647,795.760.000.0010,041.330.00306.260.00
2022-06-30485,758.19401,269.0456,601.180.000.0024,772.860.0011,748.810.00
2022-03-31552,193.78480,663.4948,947.50946.720.0024,635.550.003,778.760.00
2021-12-31810,088.12694,914.0577,666.940.000.0039,186.600.001,654.180.00
2021-09-30763,686.12637,833.2780,263.610.000.0042,265.000.006,429.060.00
2021-06-30669,976.25549,927.25105,090.810.000.0020,116.900.004,636.150.00
2021-03-31541,478.94445,925.1978,943.530.000.0018,013.700.001,581.720.00
2020-12-31339,429.56281,398.4450,319.80319.830.0015,034.200.001,174.910.00
2020-09-30206,972.18168,288.1339,126.192,344.220.002,013.400.001,397.300.00
2020-06-30121,729.37100,328.3517,046.840.030.005,035.900.00538.160.00
2020-03-3176,661.4863,313.3910,042.8578.520.003,015.900.00521.210.00
2019-12-3158,919.4450,903.874,599.390.000.003,000.900.001,158.810.00
2019-09-3064,988.9952,113.457,868.560.000.005,000.500.00379.290.00
2019-06-3052,499.5942,702.3510,178.900.000.000.000.0056.980.00
2019-03-3157,544.2742,133.4216,307.970.000.000.000.00184.700.00
2018-12-3152,559.0231,574.8820,157.71528.340.000.000.00287.700.00
2018-09-3053,366.8032,701.8421,039.070.000.000.000.00814.850.00