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基金业绩

基金费率

投资组合

基金概况

财务数据

诺安积极配置混合C(006008)

2024-12-02     1.21030.5316%
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
2024-09-3026,233.2622,555.732,072.800.000.000.000.00827.380.00
2024-06-3023,652.4716,855.341,745.580.000.000.000.005,117.550.00
2024-03-3126,846.7222,420.601,718.820.000.000.000.0086.540.00
2023-12-3126,818.2522,717.431,947.980.000.000.000.0018.250.00
2023-09-3030,512.4926,614.541,887.310.000.000.000.00258.330.00
2023-06-3031,156.2025,529.235,789.010.000.000.000.00106.960.00
2023-03-3137,234.8132,571.112,351.050.000.000.000.0029.000.00
2022-12-3138,528.9831,250.957,397.370.000.000.000.0011.360.00
2022-09-3036,021.2030,654.425,094.810.000.000.000.00435.350.00
2022-06-3040,736.9032,875.637,804.160.000.000.000.00207.880.00
2022-03-3136,066.3629,166.267,884.720.000.000.000.00130.400.00
2021-12-3146,880.4041,579.076,228.240.000.000.000.0030.110.00
2021-09-3048,341.6340,591.329,631.700.000.000.000.0065.490.00
2021-06-3063,160.1659,212.324,846.360.000.000.000.00108.480.00
2021-03-3167,000.7955,730.359,612.700.000.000.000.001,968.730.00
2020-12-31195,230.18167,163.9734,348.240.000.000.000.00546.790.00
2020-09-30204,781.52172,742.7431,628.820.000.000.000.005,754.120.00
2020-06-306,170.264,479.862,491.260.000.000.000.0082.710.00
2020-03-311,740.391,444.12354.020.000.000.000.003.790.00
2019-12-312,357.551,990.96435.510.000.000.000.001.370.00
2019-09-302,478.092,375.83116.160.000.000.000.008.740.00
2019-06-303,533.242,856.30725.430.000.000.000.0012.510.00
2019-03-316,371.395,468.11909.420.000.000.000.00113.180.00
2018-12-3117,740.955,232.505,545.760.000.000.000.009.760.00
2018-09-3020,432.291,736.8710,852.430.000.000.000.0079.560.00