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基金业绩

基金费率

投资组合

基金概况

财务数据

南方高端装备混合A(202027)

2025-01-27     2.1895-3.1623%
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
2024-12-3196,176.2790,482.966,246.420.000.000.000.0039.710.00
2024-09-30108,153.3797,512.5611,109.090.000.000.000.001,165.840.00
2024-06-3098,627.5891,757.216,677.430.000.000.000.00622.600.00
2024-03-31116,591.31104,594.6010,853.410.000.000.000.001,602.040.00
2023-12-31154,131.63143,097.4410,991.06368.710.000.000.00291.350.00
2023-09-30171,949.04157,090.8210,985.40396.310.000.000.005,310.830.00
2023-06-30189,959.66176,274.3013,522.280.000.000.000.001,300.670.00
2023-03-31213,932.04198,771.3217,192.410.000.000.000.00153.190.00
2022-12-31220,974.92205,708.2414,037.570.000.000.000.002,664.170.00
2022-09-30143,669.12134,159.9210,207.67142.510.000.000.00127.640.00
2022-06-30169,375.13157,788.8510,453.440.000.000.000.002,346.610.00
2022-03-31156,683.41142,422.849,794.79719.670.005,004.740.001,709.890.00
2021-12-31215,628.69193,380.1510,353.02515.260.00986.650.0013,079.880.00
2021-09-30169,330.11155,579.998,598.253,031.230.00988.910.004,763.690.00
2021-06-3083,785.9677,127.075,750.550.000.000.000.002,395.840.00
2021-03-3173,504.9165,996.885,164.670.000.000.000.00529.770.00
2020-12-3149,346.0846,152.933,425.459.890.000.000.00206.210.00
2020-09-3035,485.3631,987.482,578.2971.390.000.000.00449.020.00
2020-06-3030,120.9828,083.721,122.4643.780.00801.200.00847.950.00
2020-03-3133,420.9827,190.402,342.11118.410.001,906.990.001,922.660.00
2019-12-3137,788.8930,228.615,908.060.000.001,912.380.0074.780.00
2019-09-3033,476.6128,686.903,187.690.000.001,917.410.00105.790.00
2019-06-3031,464.8924,223.754,257.501.710.003,000.900.00103.550.00
2019-03-3134,128.0528,777.222,234.0838.560.003,008.100.00540.510.00
2018-12-3128,798.8621,386.474,445.1217.900.003,009.600.0055.920.00