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

大成景尚灵活配置混合C(003693)

2025-01-27     1.25470.0957%
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
2024-12-3157,942.843,813.212,666.092,904.1710,545.4319,581.821,051.132,736.860.00
2024-09-3020,329.142,218.851,149.38400.4712,992.648,277.551,002.151,603.750.00
2024-06-3014,878.882,088.93569.29120.7212,930.8210,405.750.0045.500.00
2024-03-3114,661.361,798.18559.79146.6512,760.969,360.810.0019.070.00
2023-12-3114,804.271,802.801,026.080.1012,890.077,790.800.001,421.430.00
2023-09-3016,161.152,400.73864.720.0022,665.2111,744.220.00139.180.00
2023-06-3030,453.633,673.96848.320.0032,939.6020,968.030.0027.020.00
2023-03-3143,580.335,385.553,752.8631.7059,470.4523,863.020.00184.100.00
2022-12-3165,656.823,371.732,174.630.0061,457.3935,083.270.006.210.00
2022-09-3076,131.384,364.414,142.120.1272,216.1728,773.082,049.205.450.00
2022-06-3064,659.346,611.326,005.380.1278,564.9224,069.412,019.635,057.520.00
2022-03-3155,200.173,622.951,369.779.45136,178.3116,963.482,002.821,065.170.00
2021-12-3150,466.276,051.371,064.8683.10134,676.2011,078.320.00795.650.00
2021-09-3097,182.727,309.791,434.360.00193,652.6021,519.760.001,279.590.00
2021-06-3095,825.486,839.601,185.0427.60259,538.7010,848.080.001,749.830.00
2021-03-3193,894.787,304.79998.7650.95297,758.108,759.650.001,945.050.00
2020-12-3193,667.5913,183.93292.9645.68301,507.508,735.240.001,864.360.00
2020-09-3093,361.9812,506.51374.950.10301,840.107,018.450.001,489.710.00
2020-06-3089,398.518,217.09631.960.13270,292.705,487.670.001,900.220.00
2020-03-3187,633.278,291.283,174.983.77261,642.2012,298.180.002,524.790.00
2019-12-3185,657.057,933.992,654.95116.94268,797.5012,000.110.001,743.240.00
2019-09-3086,931.257,311.543,590.7170.39241,970.5010,145.630.002,341.270.00
2019-06-3084,254.487,655.283,613.3964.67261,626.006,038.070.002,103.800.00
2019-03-3182,975.077,675.02331.43242.66195,265.006,218.420.007,196.960.00
2018-12-3180,975.353,453.28235.5850.76206,886.504,184.330.001,918.270.00