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基金业绩

基金费率

投资组合

基金概况

财务数据

工银聚福混合C(005944)

2024-12-02     1.32120.4486%
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
2024-09-305,607.511,436.172,708.891,069.836,196.610.000.00164.070.00
2024-06-305,439.131,359.743,686.66506.246,195.030.000.002.280.00
2024-03-314,953.291,464.013,255.5163.562,102.770.000.001.560.00
2023-12-315,201.951,460.012,443.5962.722,138.391,029.430.001.240.00
2023-09-303,697.741,019.13434.6164.822,092.931,024.020.003.560.00
2023-06-306,977.471,676.121,676.5964.935,177.383,067.920.003.860.00
2023-03-3129,977.838,900.54178.9564.27179,277.547,631.640.0010.410.00
2022-12-3136,787.3710,972.35724.4764.97171,382.698,172.710.00130.030.00
2022-09-3043,424.1112,596.40827.5067.11180,455.415,131.520.00109.310.00
2022-06-3051,354.9815,148.621,870.0964.64246,688.905,625.500.00624.450.00
2022-03-3149,813.1214,320.21817.4654.23263,434.628,205.600.00251.980.00
2021-12-3156,762.8015,930.773,255.7780.28281,640.1014,133.800.00706.590.00
2021-09-3079,003.1622,696.321,639.1127.65287,634.0519,081.300.001,457.540.00
2021-06-3058,926.4917,723.791,010.7214.50247,703.555,037.400.00640.500.00
2021-03-3145,906.2013,556.01795.280.00221,696.455,021.800.00730.440.00
2020-12-3156,177.0516,788.441,042.100.00188,874.4510,061.100.00679.260.00
2020-09-3051,215.5015,245.96516.030.00233,310.856,953.500.002,233.900.00
2020-06-3032,711.649,659.03430.820.0065,256.746,092.400.008,133.360.00
2020-03-31563.630.00583.350.000.000.000.001.720.00
2019-12-318,115.002,155.841,087.67240.2738,297.35915.560.00149.690.00
2019-09-308,133.67971.581,192.81161.0748,120.581,009.280.00157.710.00
2019-06-3012,102.520.00269.49663.76129,323.602,074.500.00213.690.00
2019-03-313,682.270.00345.3785.582,966.152,904.910.0080.850.00
2018-12-312,565.830.00186.8176.195,170.33903.960.00109.890.00