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基金业绩

基金费率

投资组合

基金概况

财务数据

长信内需成长混合A(519979)

2024-12-02     1.62460.3893%
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
2024-09-3076,061.6171,152.964,368.680.000.000.000.001,424.720.00
2024-06-3073,039.5468,230.775,755.900.000.000.000.001,089.170.00
2024-03-3172,347.2867,958.478,383.120.000.000.000.00211.160.00
2023-12-3173,550.3668,907.644,714.520.000.004,117.710.0061.770.00
2023-09-30101,971.9595,666.642,416.300.000.004,096.070.00330.280.00
2023-06-3085,931.6877,495.542,143.450.000.006,149.850.002,309.180.00
2023-03-3187,657.5681,417.693,253.790.000.006,149.730.00213.650.00
2022-12-31115,975.69107,305.185,416.790.000.006,120.350.00337.050.00
2022-09-3077,870.6072,023.543,210.610.000.004,049.720.00165.560.00
2022-06-3065,429.9259,975.132,705.370.000.004,026.340.00290.780.00
2022-03-3168,051.3863,069.67270.900.000.005,118.880.001,590.470.00
2021-12-31172,043.98159,997.223,003.18185.500.009,005.400.00234.610.00
2021-09-30185,389.43174,841.931,427.93178.860.009,010.500.00458.220.00
2021-06-30257,675.46241,885.692,567.27174.430.0013,818.460.00482.280.00
2021-03-31272,393.31258,322.2728,947.73173.810.0013,869.580.001,351.940.00
2020-12-31393,672.99364,781.3710,545.47169.500.0012,360.650.007,120.070.00
2020-09-30297,506.49277,875.0620,130.320.000.000.000.00269.380.00
2020-06-30264,324.23250,299.568,591.870.000.0010,019.000.00418.060.00
2020-03-31189,194.80175,426.162,102.750.000.0010,053.000.002,248.340.00
2019-12-31201,525.06190,848.371,215.460.000.0010,014.000.00203.070.00
2019-09-30164,540.49150,662.556,327.180.000.0010,003.000.00393.050.00
2019-06-30200,127.67180,188.869,089.310.000.0010,007.000.001,663.010.00
2019-03-31208,388.81197,099.521,596.640.000.0010,008.000.00411.010.00
2018-12-31206,115.08187,723.307,807.020.000.0010,562.580.00473.270.00
2018-09-30237,902.81224,149.963,357.400.000.0012,590.790.00609.890.00