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基金费率

投资组合

基金概况

财务数据

交银多策略回报灵活配置混合A(519755)

2024-12-02     1.47000.1362%
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
2024-09-3059,439.595,208.417,199.74319.7960,869.8413,265.380.00165.260.00
2024-06-3069,288.665,605.724,664.093.69183,967.5113,361.960.00169.680.00
2024-03-31102,785.825,536.7210,183.990.00183,135.3211,637.140.00852.730.00
2023-12-3197,608.6810,020.1212,030.180.00213,338.250.000.00283.800.00
2023-09-30115,033.1617,408.8811,143.730.00192,416.710.000.0048.080.00
2023-06-30149,642.5927,916.896,981.330.00338,952.006,154.450.001,893.550.00
2023-03-31203,309.9031,963.064,713.95656.70642,702.5710,193.960.001,244.980.00
2022-12-31294,615.6839,154.9710,415.79532.97910,968.7716,347.050.00318.500.00
2022-09-30422,520.4658,708.1728,439.85676.09987,813.4254,226.950.0016,926.720.00
2022-06-30588,386.83111,312.6041,312.511,712.24988,673.2438,067.460.008,681.780.00
2022-03-31640,507.9595,316.1640,692.771,144.27987,321.3041,090.780.00746.560.00
2021-12-31561,093.0879,745.3732,437.381,103.831,034,798.0050,685.520.008,749.220.00
2021-09-30342,342.2641,315.2718,930.48191.52370,923.0052,514.010.0038,110.290.00
2021-06-30155,079.4920,995.657,676.07154.83180,546.004,249.600.005,528.430.00
2021-03-31152,713.0719,324.397,611.02121.69239,908.401,233.660.004,429.130.00
2020-12-31126,294.2420,017.907,624.58108.98209,965.80232.460.002,168.400.00
2020-09-30128,084.3316,582.337,801.4728.05240,124.80232.970.002,037.730.00
2020-06-30123,335.9914,980.843,628.570.00241,187.255,261.430.002,529.110.00
2020-03-3183,374.838,276.16774.920.53249,368.804,673.320.001,644.630.00
2019-12-3154,858.1010,003.80518.45466.93247,906.203,455.400.001,242.830.00
2019-09-3047,731.388,963.71697.58220.08208,294.652,449.370.00654.740.00
2019-06-3041,593.329,017.176,901.23243.03136,882.307,096.470.001,022.760.00
2019-03-319,787.032,521.3495.93216.7628,062.654,546.500.00163.800.00
2018-12-3110,072.812,810.54138.782.5027,920.052,665.240.001,170.420.00
2018-09-3014,413.253,035.74187.720.0049,264.005,101.800.00164.670.00