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基金费率

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基金概况

财务数据

诺安积极回报混合C(012847)

2025-05-29     2.01101.7713%
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
2025-03-31330,868.40308,659.9223,474.530.000.000.000.00936.360.00
2024-12-31261,306.35244,727.5920,543.900.000.000.000.001,228.120.00
2024-09-30246,148.19228,161.2915,453.880.000.000.000.004,674.210.00
2024-06-30239,990.37225,253.7815,204.970.000.000.000.00798.510.00
2024-03-31333,821.74232,544.84113,011.530.000.000.000.005,186.330.00
2023-12-31162,726.02148,906.2314,081.610.000.000.000.00409.050.00
2023-09-30186,775.44152,173.3234,917.710.000.000.000.00776.970.00
2023-06-30236,439.82220,577.5417,357.460.000.000.000.002,281.270.00
2023-03-3171,081.2361,446.655,832.920.000.000.000.005,616.450.00
2022-12-317,010.796,541.69496.110.000.000.000.0041.850.00
2022-09-3012,793.8512,047.08863.790.000.000.000.0010.430.00
2022-06-306,177.377.426,177.850.000.000.000.007.640.00
2022-03-314,389.013,999.97439.930.000.000.000.005.630.00
2021-12-319,550.628,628.40936.990.000.000.000.0015.040.00
2021-09-307,597.786,873.78645.400.000.000.000.00114.780.00