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基金业绩

基金费率

投资组合

基金概况

财务数据

南方信息创新混合C(007491)

2024-11-20     1.79950.0723%
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
2024-09-30472,392.12437,292.2910,823.710.000.0020,298.880.0012,203.780.00
2024-06-30391,572.28361,696.139,146.870.000.0020,427.080.00217.120.00
2024-03-31390,288.52364,341.403,140.110.000.0020,315.660.005,978.310.00
2023-12-31384,829.52361,422.6511,788.09592.540.0017,251.410.002,383.240.00
2023-09-30352,907.05332,990.371,857.25599.900.0017,151.710.002,416.280.00
2023-06-30398,169.42366,910.1328,457.70647.740.005,094.900.0010,865.450.00
2023-03-31225,984.78210,849.3612,945.81493.170.005,054.520.004,093.650.00
2022-12-31174,533.20159,721.954,575.650.000.0011,679.340.00241.650.00
2022-09-30188,415.51172,525.215,663.970.000.0011,625.850.00185.740.00
2022-06-30229,595.27214,389.713,517.290.0045.8911,562.710.002,138.440.00
2022-03-31219,027.91199,804.777,974.240.0045.6111,477.570.003,295.430.00
2021-12-31282,286.03265,301.7819,453.120.0045.080.000.001,136.000.00
2021-09-30290,929.77266,262.1822,331.022,249.5945.030.000.003,085.860.00
2021-06-30417,459.82390,859.5226,208.16229.5644.960.000.0010,288.800.00
2021-03-31394,927.18357,116.4338,701.640.0044.860.000.005,193.570.00
2020-12-31629,505.86579,831.6941,929.660.0044.700.000.0019,204.360.00
2020-09-30685,986.73638,654.5549,016.240.1044.490.000.009,178.410.00
2020-06-30484,394.04446,190.6236,517.680.0044.900.000.0014,569.500.00
2020-03-31400,694.21354,847.6738,611.100.0045.010.000.0014,128.190.00
2019-12-31172,150.78153,517.1617,299.3730.4744.460.000.006,615.640.00
2019-09-3088,129.5369,135.5619,375.760.0015,035.970.000.0052.270.00
2019-06-3053,852.050.000.000.000.000.000.000.000.00