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基金业绩

基金费率

投资组合

基金概况

财务数据

富国沪港深行业精选灵活配置混合型发起式C(011114)

2025-01-27     1.09350.8950%
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
2024-12-31150,693.76141,062.4817,079.400.000.000.000.003,749.090.00
2024-09-30243,439.19206,139.3253,604.410.000.000.000.001,256.780.00
2024-06-30220,439.39187,672.8029,123.200.000.000.000.004,579.170.00
2024-03-31174,806.63142,126.1531,286.260.000.000.000.002,904.010.00
2023-12-31158,182.36141,485.2720,326.288.170.000.000.0036.740.00
2023-09-30191,454.69177,110.9517,086.599.140.000.000.00679.220.00
2023-06-30224,495.77196,051.2727,756.0810.340.000.000.001,965.830.00
2023-03-31285,763.79244,257.9235,623.270.000.000.000.006,482.600.00
2022-12-31340,808.38271,759.7178,219.890.000.000.000.00324.820.00
2022-09-30293,608.92240,344.5053,955.690.000.000.000.00372.130.00
2022-06-30414,793.10340,561.9074,659.660.000.000.000.002,790.590.00
2022-03-31370,012.95305,616.7967,507.280.000.000.000.00848.570.00
2021-12-31579,565.59494,545.73107,045.580.000.000.000.00468.040.00
2021-09-30714,123.38529,531.90186,027.370.000.000.000.00507.880.00
2021-06-30987,374.31780,109.08214,859.770.000.000.000.006,972.210.00
2021-03-311,012,318.54767,333.30245,754.350.000.000.000.009,792.440.00
2020-12-31473,402.19394,789.7679,015.350.000.000.000.006,607.710.00