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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
2025-12-31186,048.010.0019,668.5917,892.1010,009.77126,339.160.0020.450.00
2025-09-30157,795.800.0019,907.3923,441.640.0093,921.600.0054.220.00
2025-06-30154,415.370.009,759.2234,803.810.0094,055.870.00368.480.00
2025-03-3183,513.290.0014,190.6224,320.9515,442.3935,297.590.001,294.330.00
2024-12-3198,543.180.0015,293.8527,109.8615,555.1038,664.980.00304.000.00
2024-09-30137,425.460.0022,040.7141,812.5010,271.7749,311.500.0010.830.00
2024-06-30354,623.790.0027,126.3093,067.9714,601.63134,023.150.003,310.450.00
2024-03-3181,045.420.009,123.2523,036.9717,375.0411,432.190.003,290.710.00
2023-12-31104,432.680.0015,969.1230,180.1542,549.4124,749.461,014.591,060.550.00
2023-09-30127,231.630.006,550.6537,171.7917,069.9024,676.900.0035.020.00
2023-06-30130,297.990.007,022.8337,989.637,280.539,320.560.00332.170.00
2023-03-31113,116.300.006,048.3632,307.577,188.521,038.880.00115.700.00
2022-12-31104,714.190.006,844.9627,346.1211,729.301,092.530.00213.120.00
2022-09-30103,621.050.006,618.8628,469.4411,880.601,090.160.00330.720.00
2022-06-3060,324.420.003,850.5617,566.9332,242.791,080.290.00959.410.00
2022-03-3160,564.860.003,472.7417,185.5440,218.982,197.850.001.930.00
2021-12-3148,457.690.002,222.7513,624.5641,479.002,157.070.00827.810.00
2021-09-3037,473.960.002,519.896,566.0578,577.0011,626.870.001,072.890.00
2021-06-3045,137.850.003,444.152,000.33113,809.5010,509.600.001,387.290.00
2021-03-3163,000.630.007,537.895,361.56203,526.0012,923.350.001,231.910.00
2020-12-3169,101.040.007,435.373,845.78184,396.009,500.470.001,856.950.00
2020-09-3071,138.430.007,526.193,728.01184,803.009,148.550.001,676.780.00
2020-06-3086,687.73128.004,302.908,928.20281,259.008,110.040.002,138.970.00
2020-03-3191,620.89128.002,976.378,205.13290,777.0017,626.070.002,235.240.00
2019-12-3198,117.16164.504,144.817,734.44288,282.0018,574.450.002,165.770.00