行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

大成安享得利六月持有混合C(010941)

2025-01-27     1.07870.3069%
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
2024-12-315,209.031,526.27509.201,016.300.002,192.360.004.560.00
2024-09-305,282.231,642.51384.49852.970.002,430.770.003.610.00
2024-06-305,034.391,418.58406.85266.000.002,047.980.003.770.00
2024-03-314,246.34796.22427.57411.440.001,024.940.000.210.00
2023-12-314,949.35825.64312.54400.090.004,051.500.0019.760.00
2023-09-304,848.53928.31347.93399.240.004,177.300.001.410.00
2023-06-305,178.91904.23348.54396.590.004,150.680.003.240.00
2023-03-315,769.831,012.111,680.670.000.004,103.280.000.510.00
2022-12-316,295.37414.391,619.420.000.004,681.720.002.720.00
2022-09-307,117.80781.303,564.250.120.004,855.750.0015.910.00
2022-06-308,720.761,092.283,815.810.360.004,800.140.001.050.00
2022-03-3112,128.86835.271,445.010.3147,326.954,758.140.004.070.00
2021-12-3116,020.851,765.45770.2612.8086,682.404,708.000.00232.990.00
2021-09-3031,918.193,521.674,882.6612.39151,003.002,016.500.00411.770.00
2021-06-3031,664.972,096.305,894.9570.74155,225.001,132.140.00441.040.00