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基金费率

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基金概况

财务数据

泰康颐享混合C(005824)

2024-11-20     1.31920.2736%
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
2024-09-3019,483.634,219.897,214.9642.437,202.569,538.940.00351.040.00
2024-06-3020,448.732,185.605,264.72929.2812,322.057,070.660.0010.100.00
2024-03-3122,033.591,470.363,050.29597.7615,346.7610,084.490.0030.080.00
2023-12-3124,860.683,142.342,507.411,783.1315,246.2112,538.250.0057.420.00
2023-09-3026,511.453,429.11108.322,069.0036,012.2012,091.420.00277.130.00
2023-06-3031,687.057,702.62102.57308.9735,944.0312,211.390.00105.660.00
2023-03-3156,077.6013,041.44676.384,246.8676,457.9516,758.110.00162.340.00
2022-12-3157,880.3014,411.64748.814,415.8785,862.8919,809.380.00313.400.00
2022-09-3072,615.2712,534.681,081.933,891.01178,169.6212,922.600.00544.600.00
2022-06-3068,470.4113,844.581,137.564,172.77224,798.2810,799.450.00443.470.00
2022-03-3188,162.5617,799.281,733.765,624.50248,548.888,790.693,061.05534.340.00
2021-12-31143,941.0039,725.052,550.2611,882.77347,103.7016,576.120.002,923.280.00
2021-09-30126,424.0729,534.831,643.879,844.51247,859.3012,097.370.004,144.540.00
2021-06-3059,420.5115,300.123,954.854,358.0769,939.803,105.000.001,039.840.00
2021-03-3161,917.8516,877.734,025.924,641.4495,050.103,085.500.001,358.220.00
2020-12-3173,387.8721,895.665,547.085,210.20133,192.143,099.900.001,515.070.00
2020-09-3072,865.4121,097.263,307.774,171.84173,264.506,002.070.002,199.490.00
2020-06-3043,074.158,343.32794.272,310.73120,360.8110,175.730.001,763.270.00
2020-03-3129,738.648,896.36626.992,219.1978,354.096,957.840.00656.990.00
2019-12-3140,613.418,395.29138.802,630.00103,553.256,676.410.001,440.150.00
2019-09-3045,353.848,328.95595.492,332.86134,363.034,202.570.00938.680.00
2019-06-3019,856.011,177.471,451.42574.8536,881.214,010.200.001,044.910.00
2019-03-316,699.91309.29529.90694.2915,388.923,048.900.00172.850.00
2018-12-318,158.90158.08118.59354.498,769.294,483.990.00242.350.00
2018-09-3010,049.99226.5949.2740.4821,063.204,221.260.00195.320.00