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基金业绩

基金费率

投资组合

基金概况

财务数据

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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
2025-12-3195,433.4275,979.3517,156.372,778.930.000.000.00141.380.00
2025-09-3098,951.7777,089.0216,879.483,681.460.000.000.001,869.650.00
2025-06-30112,713.9990,059.6819,466.733,220.570.000.000.00569.780.00
2025-03-31110,000.1087,937.2920,062.992,810.010.000.000.0088.560.00
2024-12-31111,484.7886,175.9620,784.544,491.010.000.000.00832.760.00
2024-09-30175,984.78145,024.8333,679.123,208.510.000.000.001,945.730.00
2024-06-30181,224.21142,156.8139,925.241,473.340.000.000.002,432.620.00
2024-03-31197,209.89157,354.1238,860.47991.930.000.000.001,006.630.00
2023-12-31247,481.63195,039.6949,350.292,244.640.000.000.003,975.100.00
2023-09-30284,906.73221,660.3053,400.812,237.310.000.000.00226.550.00
2023-06-30318,014.62240,407.5978,924.192,100.860.000.000.00739.270.00
2023-03-31349,992.95261,649.3990,574.262,069.470.000.000.00347.340.00
2022-12-31431,270.20302,700.90120,418.511,836.290.000.000.0014,255.770.00
2022-09-30339,715.47247,168.7392,388.961,707.290.000.000.002,978.860.00
2022-06-30292,453.64225,300.7526,850.3010,545.650.000.000.003,026.480.00
2022-03-31302,615.72220,035.2278,440.485,451.240.000.000.00873.780.00
2021-12-31218,239.00164,536.9754,178.724,607.190.000.000.00308.630.00
2021-09-30139,205.52103,014.7637,786.272,269.860.000.000.002,919.820.00
2021-06-3087,012.4068,537.1219,812.43429.640.000.000.0080.660.00
2021-03-3183,802.3463,846.2917,492.851,083.610.002,675.690.00110.770.00
2020-12-3178,086.8061,745.6911,445.273,537.760.002,676.170.00179.950.00
2020-09-3056,320.3944,534.447,139.582,948.370.002,000.600.00181.310.00
2020-06-3054,951.7243,395.098,659.82583.580.002,923.080.00239.570.00
2020-03-3151,551.2441,038.568,509.45553.340.002,935.580.00122.730.00
2019-12-3136,905.3129,374.683,254.732,314.530.002,000.600.00317.900.00