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基金业绩

基金费率

投资组合

基金概况

财务数据

建信优化配置混合C(015436)

2025-02-05     1.0090-0.5715%
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
2024-12-31137,935.80122,304.0916,176.260.000.000.000.001,346.370.00
2024-09-30149,619.63127,016.3315,049.630.000.000.000.0036.470.00
2024-06-30146,243.29128,266.6418,641.710.000.000.000.0045.120.00
2024-03-31139,596.40119,888.3120,755.470.000.000.000.00630.320.00
2023-12-31160,087.68141,923.8620,019.280.000.000.000.00176.630.00
2023-09-30172,019.78149,084.6119,814.245,496.370.000.000.0053.120.00
2023-06-30202,470.88177,425.3327,025.650.000.000.000.0048.400.00
2023-03-31224,487.07195,907.4124,364.430.000.000.000.0040.780.00
2022-12-31241,614.88214,234.6929,737.62714.680.000.000.0062.410.00
2022-09-30279,419.67246,236.7635,425.98352.820.000.000.0099.790.00
2022-06-30291,766.44261,772.6126,730.370.000.000.000.004,956.340.00
2022-03-31215,742.40187,628.0729,354.200.000.000.000.002,000.600.00