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基金业绩

基金费率

投资组合

基金概况

财务数据

国联品牌优选混合C(008425)

2026-01-30     0.6557-1.5022%
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
2025-12-314,636.724,139.76417.810.000.000.000.00130.360.00
2025-09-305,189.144,709.02559.410.000.000.000.0012.510.00
2025-06-306,360.385,735.14574.200.000.000.000.00175.010.00
2025-03-315,633.614,991.62580.130.000.000.000.00307.800.00
2024-12-315,609.474,984.10923.730.000.000.000.002.010.00
2024-09-306,021.965,465.64676.890.000.000.000.003.050.00
2024-06-305,735.645,133.42730.900.000.000.000.004.150.00
2024-03-316,439.305,632.06393.260.000.000.000.00503.090.00
2023-12-316,663.655,563.371,187.860.000.000.000.001.270.00
2023-09-307,930.567,085.84872.530.000.000.000.001.850.00
2023-06-308,325.096,429.931,918.020.000.000.000.002.840.00
2023-03-3110,457.879,439.491,051.550.000.000.000.002.170.00
2022-12-3111,444.9910,513.20969.100.000.000.000.002.270.00
2022-09-3011,780.2510,759.751,078.260.000.000.000.002.950.00
2022-06-3013,407.2711,722.221,681.550.000.000.000.0048.160.00
2022-03-3111,058.859,949.291,141.750.000.000.000.003.150.00
2021-12-3113,493.3012,616.01890.620.000.000.000.0052.580.00
2021-09-3014,739.8613,277.361,308.343.490.000.000.00229.110.00
2021-06-3022,603.1221,287.791,498.370.000.000.000.00325.930.00
2021-03-3126,382.6824,672.291,980.740.000.000.000.0097.790.00
2020-12-3147,283.0743,480.236,007.680.000.000.000.00705.670.00
2020-09-3072,155.8465,886.177,269.650.000.000.000.00252.410.00