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基金业绩

基金费率

投资组合

基金概况

财务数据

华安动态灵活配置混合C(013619)

2025-05-30     3.4780-0.1722%
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
2025-03-31102,551.4778,606.848,703.8416,138.600.000.000.0046.100.00
2024-12-31107,442.5883,683.2710,390.1015,583.910.000.000.00382.210.00
2024-09-30102,341.3379,958.375,513.9112,592.000.000.000.004,520.470.00
2024-06-3095,354.5474,325.029,784.3112,804.000.000.000.0018.480.00
2024-03-31101,792.2079,946.187,694.5114,501.160.000.000.0052.560.00
2023-12-31115,899.3491,987.759,699.2413,980.950.000.000.00816.670.00
2023-09-30155,922.53123,195.8115,840.5517,489.310.000.000.0043.670.00
2023-06-30186,742.11147,232.1316,062.0723,612.480.000.000.00442.860.00
2023-03-31227,891.09181,740.0920,906.7628,309.160.000.000.00850.470.00
2022-12-31257,267.01204,716.0021,814.6431,940.520.000.000.002,855.770.00
2022-09-30270,532.15209,833.4033,442.3528,227.680.000.000.00221.230.00
2022-06-30268,741.57211,149.6543,474.7615,373.350.000.000.003,009.240.00
2022-03-31229,275.22182,376.1443,403.398,497.290.000.000.00529.360.00
2021-12-31186,293.28147,677.8226,790.5011,782.270.000.000.001,208.880.00