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基金业绩

基金费率

投资组合

基金概况

财务数据

南方成份精选混合C(006541)

2024-11-20     0.57450.0174%
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
2024-09-30243,775.33201,379.8112,243.060.000.000.000.0015,270.000.00
2024-06-30226,363.84207,723.6514,272.800.000.000.000.0025.430.00
2024-03-31192,337.02178,374.3611,513.570.000.000.000.00512.210.00
2023-12-31190,374.31174,009.7219,573.230.000.000.000.003,928.220.00
2023-09-30212,188.57193,392.3219,324.520.000.000.000.00101.360.00
2023-06-30220,749.61200,283.4819,566.01605.840.000.000.002,219.850.00
2023-03-31244,851.72223,796.8521,646.12649.830.000.000.0070.470.00
2022-12-31239,622.04218,194.3516,383.75630.170.000.000.0093.560.00
2022-09-30235,472.67208,660.0517,424.460.000.000.000.00108.510.00
2022-06-30279,674.81252,861.1517,699.140.000.000.000.00164.530.00
2022-03-31253,412.45233,872.0520,376.200.000.000.000.00163.060.00
2021-12-31320,434.86285,652.7118,931.950.000.002,001.200.003,320.980.00
2021-09-30352,253.33298,713.3624,077.960.000.002,003.200.00977.630.00
2021-06-30398,504.85355,509.3935,830.930.000.009,021.300.00664.930.00
2021-03-31382,669.50331,047.2424,070.510.000.009,032.100.00461.050.00
2020-12-31473,027.14432,454.9516,698.37253.100.0019,066.900.00784.310.00
2020-09-30476,049.88432,737.335,963.040.000.0026,086.900.00950.520.00
2020-06-30470,042.34357,612.3022,106.350.000.0024,935.360.00996.190.00
2020-03-31402,682.04316,413.9625,534.620.000.0022,627.100.00565.180.00
2019-12-31384,545.69344,049.6422,100.720.000.0020,564.500.00863.720.00
2019-09-30360,876.00324,177.0822,228.740.000.0022,534.200.00802.860.00
2019-06-30370,446.73321,478.4319,381.890.000.0022,564.050.00594.970.00
2019-03-31422,655.03354,593.5320,540.380.000.0025,609.050.006,565.720.00
2018-12-31296,459.38262,321.0012,827.78285.900.0019,029.300.00794.820.00