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南方优选成长混合C(005206) - 搜狐基金
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基金业绩

基金费率

投资组合

基金概况

财务数据

南方优选成长混合C(005206)

2024-11-05     3.39701.0170%
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
2024-09-30244,360.17185,609.5549,623.733.360.002,085.200.007,747.350.00
2024-06-30230,319.63178,577.5047,948.933.330.002,074.680.00283.440.00
2024-03-31291,658.12224,982.1558,979.733.220.002,056.320.006,503.730.00
2023-12-31280,738.79213,429.3659,281.9933.890.002,036.930.001,632.220.00
2023-09-30304,664.32227,054.8465,545.4835.460.002,083.000.0010,683.090.00
2023-06-30315,634.61236,404.1677,949.401.470.002,070.880.001,806.550.00
2023-03-31348,587.83271,741.0674,213.241,105.630.002,044.720.001,769.820.00
2022-12-31371,282.01275,242.4680,373.49970.360.004,095.360.00235.150.00
2022-09-30393,041.46288,585.5483,907.36151.300.004,142.500.003,049.030.00
2022-06-30433,727.15285,451.5695,931.30565.850.004,099.650.00512.640.00
2022-03-31413,391.55255,339.43152,473.39481.450.008,775.430.00216.570.00
2021-12-31460,753.93296,016.62106,134.51223.640.008,546.750.002,023.040.00
2021-09-30452,097.90317,251.99125,389.20175.740.008,569.850.003,561.370.00
2021-06-30457,380.64315,206.24108,313.11160.510.0035,627.970.002,986.990.00
2021-03-31436,512.06304,250.4995,061.9162.220.0035,688.270.002,444.850.00
2020-12-31391,974.46283,698.1879,796.77375.550.0030,009.080.003,789.390.00
2020-09-30337,995.17235,197.3775,235.80121.570.0027,023.310.003,414.760.00
2020-06-30235,436.74167,007.1541,338.82117.800.0027,099.240.005,241.430.00
2020-03-31148,997.67107,745.6016,498.61103.830.0026,900.730.002,229.730.00
2019-12-31122,509.7691,778.6312,409.040.000.0018,956.440.001,391.090.00
2019-09-3097,371.7371,959.489,762.260.000.0015,282.140.00757.070.00
2019-06-3075,669.3157,531.313,349.86226.610.0014,537.830.00662.690.00
2019-03-31102,681.9679,472.802,202.7120.540.0020,390.850.001,757.600.00
2018-12-3198,515.7266,179.564,944.130.000.0022,030.700.005,646.490.00
2018-09-30113,511.3379,975.497,848.790.000.0025,013.800.001,417.550.00