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基金业绩

基金费率

投资组合

基金概况

财务数据

平安日鑫C(015021)

2025-01-29     0.44990.0000%
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
2024-12-314,818,462.190.001,318,105.540.00934,594.49285,395.860.0046,369.380.00
2024-09-306,255,027.340.002,291,357.320.00335,388.23217,519.650.005,230.790.00
2024-06-306,980,002.460.003,221,591.400.00606,749.11356,769.960.0016,106.250.00
2024-03-316,085,576.820.002,578,187.180.00454,750.71311,482.520.007,977.230.00
2023-12-315,707,264.140.002,012,263.230.00357,123.45356,667.660.0019,130.440.00
2023-09-306,591,629.580.002,199,666.750.00509,103.08412,091.480.0017,293.600.00
2023-06-308,325,027.590.002,758,494.800.00870,476.59583,775.400.00231,802.840.00
2023-03-318,773,192.350.003,718,526.090.00261,086.72482,842.230.004,295.750.00
2022-12-317,424,164.960.001,780,561.510.000.00370,837.770.0013,551.250.00
2022-09-308,792,186.390.002,975,512.470.0031,379.14472,978.200.00442.710.00
2022-06-307,442,949.860.001,957,845.380.000.00352,964.800.0065,685.300.00
2022-03-315,851,347.210.001,856,135.440.00138,660.34256,109.820.004,770.520.00