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基金业绩

基金费率

投资组合

基金概况

财务数据

浦银安盛安裕回报一年持有期混合C(012300)

2024-11-20     0.91460.1862%
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
2024-09-3026,541.325,238.433,131.50325.925,134.110.000.00432.750.00
2024-06-3029,581.235,806.423,360.45255.070.001,023.370.00225.600.00
2024-03-3131,505.694,905.695,219.8289.330.002,544.580.0010.710.00
2023-12-3135,161.425,991.864,452.130.000.001,534.280.0082.440.00
2023-09-3040,088.036,400.353,763.730.000.002,041.460.0011.840.00
2023-06-3047,776.157,403.375,388.820.000.002,033.980.0013.890.00
2023-03-3154,463.138,751.694,505.210.000.002,017.860.00813.200.00
2022-12-3161,679.938,505.486,034.400.000.003,092.610.0097.170.00
2022-09-3079,637.018,375.578,516.130.000.003,097.280.0024.290.00
2022-06-30103,901.4415,833.419,043.780.000.003,076.760.001,470.430.00
2022-03-31101,706.2113,634.5410,520.870.000.003,040.580.0026.970.00
2021-12-31104,785.3613,442.916,806.500.000.003,047.700.003,807.400.00