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

前海联合泳涛混合A(004634)

2025-01-27     1.1610-1.5184%
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
2024-12-313,688.203,393.80277.210.000.000.000.00178.240.00
2024-09-303,771.673,431.14408.800.000.000.000.00331.490.00
2024-06-303,344.463,084.29274.140.000.000.000.0016.270.00
2024-03-314,085.693,827.41325.560.000.000.000.0075.420.00
2023-12-319,703.888,983.30903.730.000.000.000.0094.190.00
2023-09-3015,564.9514,539.491,241.450.000.000.000.0036.730.00
2023-06-3016,540.6715,286.601,225.850.000.000.000.00441.190.00
2023-03-3119,734.3418,421.721,562.560.000.000.000.00266.760.00
2022-12-3117,865.2216,519.341,499.410.000.000.000.00462.070.00
2022-09-3015,058.8213,900.321,232.730.000.000.000.0046.840.00
2022-06-3013,773.3512,809.39950.200.000.000.000.00128.660.00
2022-03-3113,256.4111,883.70400.500.000.001,023.780.00156.260.00
2021-12-3116,017.5914,735.20248.180.000.001,000.700.00200.060.00
2021-09-3015,769.6514,504.70921.340.000.001,000.600.0089.170.00
2021-06-3017,700.0915,859.68567.770.000.001,000.100.00249.000.00
2021-03-3114,993.7413,702.74313.370.000.00999.000.0016.530.00
2020-12-3115,477.9514,016.77189.010.000.00996.000.00316.030.00
2020-09-3012,910.2711,831.3293.780.000.00990.700.0015.340.00
2020-06-3011,341.977,967.851,371.840.000.000.000.0020.350.00
2020-03-319,678.623,327.556,375.420.000.000.000.0026.830.00
2019-12-319,181.898,472.10917.820.000.000.000.00782.370.00
2019-09-308,901.098,207.91701.850.000.000.000.0046.660.00
2019-06-3010,828.089,568.601,412.130.000.000.000.0020.440.00
2019-03-3112,237.8810,570.701,250.060.000.000.000.00434.190.00
2018-12-319,736.263,787.832,741.780.000.000.000.0018.960.00