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基金费率

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基金概况

财务数据

鹏扬景润一年混合A(012253)

2024-11-22     1.0412-0.4779%
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
2024-09-3023,193.424,132.892,674.77682.7356,512.701,999.190.00909.690.00
2024-06-3028,181.596,688.713,425.541,279.7946,341.310.000.0037.510.00
2024-03-3141,462.929,289.705,436.87894.7666,573.120.000.00222.610.00
2023-12-3150,016.0413,373.836,899.545,973.6447,060.810.000.00681.200.00
2023-09-3054,449.9814,387.765,568.184,814.7284,480.661,635.700.00154.870.00
2023-06-3064,556.9915,130.359,323.996,559.9870,677.727,973.820.002,919.700.00
2023-03-3177,844.6820,521.288,158.0213,476.94107,527.403,042.030.00903.360.00
2022-12-3191,012.7222,512.238,213.8314,566.95146,245.9113,768.810.00233.870.00
2022-09-30100,592.9816,529.4920,878.7614,729.86193,024.398,965.960.00478.170.00
2022-06-30131,233.1322,280.569,243.7414,262.51265,453.1313,015.920.00491.790.00
2022-03-31128,384.5614,411.6116,455.6711,372.99315,464.9520,563.850.00420.150.00
2021-12-31133,122.7422,460.3814,080.838,976.76334,729.5016,185.800.002,221.610.00