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

安信平衡增利混合C(012251)

2026-01-30     1.3109-1.0492%
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
2025-12-3114,959.618,997.981,246.03486.420.002,020.740.005.280.00
2025-09-3016,990.9510,264.201,309.85496.160.001,000.200.0040.900.00
2025-06-3021,796.3813,148.802,446.811,282.950.000.000.00145.960.00
2025-03-3124,969.6515,277.501,959.172,018.230.000.000.0067.800.00
2024-12-3130,122.4319,039.522,080.294,552.290.000.000.006.140.00
2024-09-3033,804.7820,898.382,092.199,136.260.000.000.00950.350.00
2024-06-3028,415.1417,819.401,980.807,446.380.000.000.00274.060.00
2024-03-3125,931.8216,489.681,824.988,324.830.000.000.004.770.00
2023-12-3122,371.9014,478.601,806.188,572.060.000.000.0031.130.00
2023-09-3020,690.4813,805.544,584.097,538.750.000.000.00235.950.00
2023-06-3029,940.3919,494.283,124.2212,800.830.000.000.00350.290.00
2023-03-3147,993.2032,261.703,506.7419,649.130.000.000.0075.450.00
2022-12-3152,447.6833,203.993,156.2023,835.960.001,024.320.00349.110.00
2022-09-3047,306.9528,441.831,036.3521,707.560.003,234.730.00171.160.00
2022-06-3034,908.6218,309.872,376.4013,301.620.002,232.380.00861.960.00
2022-03-3117,864.618,336.701,105.075,722.920.001,516.040.00339.820.00