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

工银金融地产混合C(010696)

2025-11-13     2.82300.4984%
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
2025-09-30113,174.07105,918.911,702.690.000.006,090.620.00180.310.00
2025-06-30174,769.69162,307.544,584.190.000.009,087.490.00642.090.00
2025-03-31178,174.04163,855.804,853.29353.200.009,045.420.00708.860.00
2024-12-31207,573.63193,344.653,354.340.000.0012,226.990.0080.970.00
2024-09-30271,701.78252,236.408,322.591,010.940.0012,168.780.001,012.770.00
2024-06-30226,496.92208,648.125,540.930.000.0012,359.380.00493.790.00
2024-03-31231,177.95214,693.164,275.470.000.0012,303.250.001,091.980.00
2023-12-31234,318.28219,525.892,879.180.000.0012,221.330.003,797.200.00
2023-09-30297,207.04275,580.062,958.070.000.0016,203.330.004,636.710.00
2023-06-30311,159.36283,857.446,566.100.000.0021,318.890.002,360.640.00
2023-03-31467,743.40432,130.166,090.190.000.0030,407.010.001,802.620.00
2022-12-31605,045.44562,415.2930,241.032,533.340.0032,307.360.00528.270.00
2022-09-30626,748.61548,762.1148,206.848,780.680.0024,180.590.001,626.490.00
2022-06-30690,244.15616,922.0834,564.7710,367.070.0024,529.490.0014,105.960.00
2022-03-31714,244.50645,329.2522,139.438,178.000.0039,694.120.002,013.570.00
2021-12-31722,945.20656,910.8223,708.841,305.460.0039,010.400.004,571.560.00
2021-09-30612,624.16565,794.5122,175.921,275.870.0018,000.300.007,440.780.00
2021-06-30789,590.42694,543.6253,908.503,957.900.0035,010.400.006,939.430.00
2021-03-31879,176.05801,914.0134,505.2211,438.300.0041,036.900.001,335.180.00
2020-12-311,031,240.40951,795.2262,257.37346.730.0050,025.200.004,363.750.00