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基金费率

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基金概况

财务数据

上银未来生活灵活配置混合C(014113)

2026-01-26     1.7292-2.9630%
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
2025-12-314,186.813,873.12499.210.670.000.000.00192.810.00
2025-09-304,778.164,467.33316.890.660.000.000.0099.800.00
2025-06-303,850.253,642.57286.270.630.000.000.0013.030.00
2025-03-313,794.693,556.18248.560.610.000.000.009.630.00
2024-12-313,420.673,196.86237.330.610.000.000.008.560.00
2024-09-303,134.772,420.85358.040.620.000.000.00365.720.00
2024-06-302,762.531,430.271,788.050.630.000.000.0038.510.00
2024-03-312,921.522,149.53810.500.650.000.000.005.550.00
2023-12-313,078.462,859.09206.030.650.000.000.0033.190.00
2023-09-302,999.642,779.78252.2213.260.000.000.0012.220.00
2023-06-307,286.826,576.69558.1813.450.000.000.00177.210.00
2023-03-318,942.967,994.04899.8012.400.000.000.0076.670.00
2022-12-318,245.057,370.20904.8811.710.000.000.006.680.00
2022-09-309,016.287,309.981,796.2111.790.000.000.00223.520.00
2022-06-3011,206.209,730.141,766.4212.130.000.000.004.520.00
2022-03-3110,488.529,019.341,717.2911.780.000.000.003.320.00