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基金业绩

基金费率

投资组合

基金概况

财务数据

国泰安益灵活配置混合C(004252)

2024-12-02     1.35510.0665%
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
2024-09-3076.350.0082.090.000.000.000.002.830.00
2024-06-3076.297.6275.730.200.000.000.004.990.00
2024-03-319,819.641,783.001,573.09431.2118,491.610.000.0034.370.00
2023-12-3117,507.764,181.332,600.5735.1446,782.770.000.006.340.00
2023-09-3019,680.614,929.972,477.7636.0140,650.340.000.006.540.00
2023-06-3024,991.215,889.504,404.4854.0276,959.380.000.00858.520.00
2023-03-3128,915.086,212.923,952.1648.8340,833.350.000.008.570.00
2022-12-3130,430.355,564.885,505.7826.5845,744.100.000.0010.000.00
2022-09-3030,599.135,120.273,023.4821.2945,740.940.000.0012.330.00
2022-06-3036,775.687,755.833,244.67154.4972,463.910.000.001,061.540.00
2022-03-3166,316.5014,078.295,429.51311.58112,417.950.000.0015.940.00
2021-12-3193,939.6218,517.185,237.52550.72131,191.000.000.001,211.890.00
2021-09-3090,201.3015,910.815,609.28421.25126,063.000.000.00909.330.00
2021-06-3064,726.3814,532.934,896.92352.0285,764.500.000.001,343.200.00
2021-03-3155,053.9612,807.492,453.69338.4485,691.50999.000.00831.930.00
2020-12-3169,407.4814,800.294,218.211,171.5585,611.00996.000.00721.340.00
2020-09-3052,600.7313,677.704,439.781,108.8158,665.70990.700.001,948.460.00
2020-06-3029,931.769,771.106,813.451,042.3023,606.070.000.00107.010.00
2020-03-3127,399.877,332.394,109.221,413.6037,283.260.000.00209.800.00
2019-12-3127,740.447,825.001,949.130.000.003,201.760.00354.200.00
2019-09-3027,567.637,607.311,770.840.000.002,999.800.00469.610.00
2019-06-3025,723.757,420.83396.340.000.001,999.200.00206.040.00
2019-03-3115,237.373,344.524,873.560.000.001,000.500.0046.120.00
2018-12-3119,279.436,009.828,690.2121.960.001,001.100.0047.880.00
2018-09-3020,134.906,226.28204.5422.110.001,004.400.00486.590.00