行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

国寿安保稳嘉混合A(004258)

2025-03-20     1.1535-0.0173%
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
2024-12-3120,984.053,259.063,643.792,679.830.008,457.400.00924.130.00
2024-09-3020,400.736,176.462,522.75868.170.0010,371.550.008.050.00
2024-06-3019,254.183,484.442,717.8195.705,269.9712,110.520.00162.040.00
2024-03-3119,065.852,654.651,525.320.005,252.6612,335.830.006.460.00
2023-12-3119,444.145,177.501,217.100.005,223.0914,261.310.005.060.00
2023-09-3019,270.784,973.46262.5831.825,158.5316,244.870.004.580.00
2023-06-3019,691.783,684.04246.5431.430.0015,785.270.004.590.00
2023-03-3121,759.174,638.98170.9630.350.0017,609.240.005.220.00
2022-12-3121,656.385,049.69400.7029.950.0014,684.730.0029.670.00
2022-09-3023,249.204,678.00319.3032.350.0020,714.940.005.790.00
2022-06-3024,572.405,280.44238.3831.820.0019,504.950.0046.160.00
2022-03-3125,304.315,574.62140.82253.220.0019,453.870.00179.020.00
2021-12-3144,858.318,553.87612.85301.2130,302.0036,467.600.001,588.700.00
2021-09-3049,654.298,512.11317.25241.2635,170.5041,886.300.00806.030.00
2021-06-3059,561.8111,840.041,410.13217.6435,114.0035,717.450.001,344.430.00
2021-03-3157,090.0114,968.701,621.22237.3925,089.5038,674.800.002,677.770.00
2020-12-3172,219.9220,582.40410.07528.3060,225.5047,053.100.001,152.960.00
2020-09-3068,400.7717,286.96130.72498.9285,241.5031,473.800.001,077.690.00
2020-06-3064,450.6812,401.261,308.48714.91120,988.0019,315.900.001,230.440.00
2020-03-3135,997.978,749.63194.18714.3986,356.5013,306.000.00731.700.00
2019-12-3131,854.158,793.05198.06719.2175,977.009,136.600.00477.120.00
2019-09-3033,126.678,571.10192.00422.6480,913.5011,071.800.00684.620.00
2019-06-3029,573.288,071.74281.73562.0370,817.008,998.600.00467.840.00
2019-03-3120,179.304,594.32246.12609.5886,044.503,035.900.00564.730.00
2018-12-3119,271.652,156.99172.827.5075,677.505,369.720.00495.350.00