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基金业绩

基金费率

投资组合

基金概况

财务数据

南方安福混合C(007569)

2024-11-20     1.09290.0458%
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
2024-09-308,221.061,837.14190.98125.4622,663.863,441.800.00267.390.00
2024-06-3010,035.912,169.88783.3750.3722,617.743,566.330.003.920.00
2024-03-3113,091.862,844.20468.890.0040,719.863,616.750.00516.430.00
2023-12-3118,712.015,323.16448.94574.4550,881.603,065.910.00143.950.00
2023-09-3022,974.666,370.03390.29479.6882,009.973,083.720.0051.940.00
2023-06-3029,489.927,462.941,328.950.00112,402.954,717.490.007.550.00
2023-03-3131,834.936,577.23499.29660.18111,460.783,651.190.0042.500.00
2022-12-3129,246.546,010.60433.632,688.61101,867.634,124.740.006.640.00
2022-09-3039,926.318,800.11773.553,764.35133,908.476,150.130.001,120.640.00
2022-06-3056,997.3210,993.421,658.956,746.60164,235.797,260.620.00258.070.00
2022-03-3173,567.9014,987.21889.927,530.53213,710.4811,311.330.002,928.920.00
2021-12-3183,308.2018,815.051,192.449,031.22211,805.0016,114.200.001,177.450.00
2021-09-3090,084.6521,088.461,594.709,035.05271,413.0016,115.800.00874.190.00
2021-06-3086,087.0419,553.771,197.468,998.57290,729.0016,115.300.001,090.050.00
2021-03-3185,082.4618,561.741,322.838,817.39310,228.0016,052.600.001,062.240.00
2020-12-3184,989.1120,843.971,657.927,844.45290,182.0014,423.580.001,159.690.00
2020-09-3071,717.6918,071.782,124.7211,881.35180,637.0011,394.820.001,043.290.00
2020-06-3039,268.669,622.471,602.841,533.45171,321.003,899.400.001,763.790.00
2020-03-3129,884.845,927.442,379.450.0080,965.004,501.800.00251.070.00
2019-12-3132,845.356,437.54423.960.0080,608.002,008.150.00445.570.00
2019-09-3040,527.047,872.44536.810.0060,355.002,605.930.00374.450.00