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基金业绩

基金费率

投资组合

基金概况

财务数据

安信新价值混合C(003027)

2024-11-20     1.71990.4732%
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
2024-09-305,805.261,101.061,688.993,094.600.000.000.006.530.00
2024-06-305,578.851,110.661,401.562,761.920.000.000.0023.620.00
2024-03-314,656.00816.971,572.362,271.680.000.000.004.400.00
2023-12-314,615.10916.351,641.071,734.420.000.000.000.540.00
2023-09-304,832.61966.201,667.731,857.222,061.990.000.001.010.00
2023-06-305,313.721,019.071,774.092,019.712,054.460.000.00305.020.00
2023-03-315,102.261,016.092,008.951,880.032,042.700.000.000.940.00
2022-12-315,033.14937.701,901.051,776.122,034.330.000.00231.760.00
2022-09-305,035.96887.341,132.471,129.870.000.000.003.520.00
2022-06-302,849.40594.081,203.59820.450.000.000.00102.660.00
2022-03-315,523.12950.472,188.56219.984,769.660.000.00477.010.00
2021-12-3110,318.253,044.931,512.82357.4748,381.000.000.00619.900.00
2021-09-3026,489.107,530.161,562.592,037.8877,361.001,000.600.00702.150.00
2021-06-3070,821.747,030.795,840.112,903.03324,499.009,882.000.009,045.600.00
2021-03-3171,810.4720,667.456,350.802,849.95301,593.609,817.000.001,090.970.00
2020-12-3174,495.6716,066.394,938.522,769.33316,403.309,867.000.001,769.270.00
2020-09-3070,566.0713,339.004,925.933,849.33257,591.509,738.000.00623.100.00
2020-06-3024,412.882,592.431,376.368,664.1040,816.008,913.120.001,101.250.00
2020-03-319,359.511,692.611,508.650.000.006,599.700.00222.720.00
2019-12-314,071.231,128.581,990.710.000.00908.070.0066.600.00
2019-09-304,179.097.222,212.590.000.001,077.800.00226.530.00
2019-06-303,185.143.23147.790.000.002,953.720.0092.810.00
2019-03-313,344.47850.57447.470.000.002,097.180.0052.260.00
2018-12-313,320.74100.84618.150.000.002,480.520.00142.580.00
2018-09-302,860.98170.84252.830.000.002,393.600.0075.620.00