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基金业绩

基金费率

投资组合

基金概况

财务数据

南方安裕混合C(006586)

2024-11-20     1.08380.1016%
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
2024-09-30107,974.8325,947.601,672.601,172.06374,600.4721,770.120.001,815.720.00
2024-06-30113,779.7624,957.441,348.471,184.12316,814.0525,826.400.0036.390.00
2024-03-31123,939.8932,923.491,224.921,141.54374,519.0729,607.310.00952.840.00
2023-12-31157,686.3544,864.162,682.281,105.84449,292.2231,971.520.00112.770.00
2023-09-30184,594.6151,748.043,105.371,152.49552,574.5538,145.350.005,090.070.00
2023-06-30213,465.9857,385.622,736.171,078.69665,107.1539,708.830.001,164.420.00
2023-03-31260,003.8171,659.823,717.211,084.78714,068.0138,575.920.00317.930.00
2022-12-31308,351.9575,273.833,496.521,054.91880,237.6850,657.770.00651.680.00
2022-09-30342,168.6970,605.343,048.04969.47911,296.6246,121.090.0010,442.260.00
2022-06-30381,540.0984,184.685,218.414,575.021,036,176.1355,245.820.002,432.700.00
2022-03-31450,611.2195,511.591,190.654,546.651,053,242.5556,260.830.001,885.130.00
2021-12-31536,944.68114,670.856,052.554,479.061,010,922.2061,379.900.005,520.430.00
2021-09-30427,042.6587,675.352,303.696,747.93906,249.5045,964.570.005,286.500.00
2021-06-30399,445.7980,057.135,514.745,924.82881,818.4141,976.390.005,463.610.00
2021-03-31291,211.3058,834.735,541.145,385.75685,744.5034,728.640.007,249.430.00
2020-12-31177,242.7532,158.293,230.785,326.10492,347.9121,942.500.002,888.580.00
2020-09-30145,019.4228,220.061,505.468,375.66427,989.5116,819.400.001,594.530.00
2020-06-30248,712.1048,812.447,891.1125,383.39502,562.1126,884.100.004,287.120.00
2020-03-3187,317.3317,167.961,445.928,397.72466,639.649,085.900.001,584.480.00
2019-12-31151,718.0832,642.68573.158,778.62503,468.3821,610.400.004,179.540.00
2019-09-30196,381.2322,327.455,172.588,410.81469,344.3825,438.010.001,229.670.00
2019-06-3036,526.567,464.66400.38172.88300,564.505,897.750.00687.780.00
2019-03-3141,227.8611,101.78326.06238.52310,887.417,998.000.00961.750.00
2018-12-3147,404.5710,009.04354.71212.60361,912.817,989.200.00807.100.00