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基金业绩

基金费率

投资组合

基金概况

财务数据

鹏扬景源一年混合C(011522)

2026-01-29     1.0936-0.0457%
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
2025-12-3120,379.874,429.164,712.491,225.2445,639.831,205.730.00172.300.00
2025-09-3022,421.584,834.524,469.751,498.8160,535.060.000.00120.880.00
2025-06-3027,494.976,046.286,942.991,803.7676,404.060.000.00103.600.00
2025-03-3134,188.876,832.526,802.264,636.5035,485.353,689.900.00963.370.00
2024-12-3140,615.345,535.209,673.195,358.3615,388.329,260.000.00203.050.00
2024-09-3054,731.776,701.9720,693.849,424.5220,733.386,672.820.005,435.050.00
2024-06-3056,019.679,691.956,460.288,168.5010,257.853,666.640.00317.670.00
2024-03-3166,173.0610,265.077,148.8611,035.4343,945.883,588.120.00117.010.00
2023-12-3172,519.0013,750.027,884.9811,818.5571,143.520.000.00114.790.00
2023-09-3077,898.0218,881.188,167.0912,442.07158,271.304,089.260.00231.100.00
2023-06-3091,436.7121,472.9812,797.4712,536.24221,402.076,096.370.00990.230.00
2023-03-31112,670.2532,784.8315,416.8914,669.21231,394.040.000.00576.090.00
2022-12-31157,791.8137,842.2715,228.8929,757.75229,231.088,180.260.00830.320.00
2022-09-30166,196.4539,600.5918,739.7625,904.52217,093.448,316.180.0026.740.00
2022-06-30211,657.8348,416.9022,935.7120,865.08256,136.4710,175.960.005,665.110.00
2022-03-31263,556.6756,386.3453,859.1016,622.21238,278.193,048.200.00312.150.00
2021-12-31337,754.0982,316.4153,966.964,129.29181,614.0063,786.700.003,527.180.00
2021-09-30334,649.2975,314.1158,029.43992.85110,959.0091,971.400.004,984.140.00
2021-06-30335,738.8860,739.2843,127.116,984.43410,755.00101,435.000.0010,639.810.00