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基金业绩

基金费率

投资组合

基金概况

财务数据

南方安泰混合C(012220)

2024-12-02     1.15020.2877%
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
2024-09-30308,560.5772,163.223,909.078,514.551,379,646.41132,469.810.0027,118.980.00
2024-06-30333,745.2073,249.574,576.7510,582.261,597,608.35128,825.080.00601.270.00
2024-03-31369,426.3484,746.374,158.6212,979.041,624,369.52136,319.330.00872.850.00
2023-12-31420,437.9696,822.104,316.3716,689.941,738,541.09132,229.480.00624.530.00
2023-09-30469,202.29116,586.866,786.6020,706.661,907,792.43113,323.190.00270.730.00
2023-06-30548,505.29134,686.7812,106.1019,712.822,143,272.82108,183.130.00899.810.00
2023-03-31608,551.47151,805.386,451.1919,526.822,172,169.28130,222.500.00268.740.00
2022-12-31719,952.93166,756.444,634.6615,266.772,087,728.21285,603.730.00552.490.00
2022-09-30785,155.14165,658.425,698.9112,052.992,082,644.58331,460.210.00597.950.00
2022-06-30905,451.74188,213.5417,588.1312,550.112,374,446.73250,162.880.00325.000.00
2022-03-31958,604.22180,697.557,344.8911,023.092,190,443.52234,427.110.0026,431.530.00
2021-12-311,077,102.72225,418.8610,175.8221,693.591,822,909.75287,430.660.0031,709.110.00
2021-09-301,116,798.13210,562.056,830.2714,556.791,807,213.10367,061.000.0042,271.400.00
2021-06-30546,040.9992,539.5913,679.535,147.341,386,851.8098,044.750.0010,849.860.00