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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏恒生ETF联接A(人民币)(000071)

2024-11-20     1.22190.2297%
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
2024-09-30722,806.070.0055,043.790.000.000.000.0010,982.120.00
2024-06-30592,086.280.0042,462.370.000.000.000.002,295.700.00
2024-03-31543,724.160.0041,720.820.000.000.000.001,995.640.00
2023-12-31558,237.370.0043,615.380.000.000.000.003,265.370.00
2023-09-30597,224.710.0045,973.000.000.000.000.003,006.630.00
2023-06-30628,598.440.0044,618.640.000.000.000.002,569.030.00
2023-03-31591,211.130.0045,805.290.000.000.000.0022,989.970.00
2022-12-31613,965.140.0045,590.540.000.000.000.003,157.710.00
2022-09-30514,002.760.0039,896.280.000.000.000.003,200.120.00
2022-06-30542,549.430.0041,429.300.000.000.000.003,042.550.00
2022-03-31492,588.330.0043,664.140.000.000.000.003,195.430.00
2021-12-31393,217.150.0033,098.420.000.000.000.003,094.130.00
2021-09-30314,200.310.0029,226.280.000.000.000.002,508.340.00
2021-06-30338,202.030.0030,883.670.000.000.000.003,029.560.00
2021-03-31384,129.080.0032,915.790.000.000.000.003,442.570.00
2020-12-31263,651.520.0022,598.140.000.000.000.001,634.760.00
2020-09-30225,163.770.0020,303.120.000.000.000.001,943.870.00
2020-06-30179,266.200.0016,108.080.000.000.000.0011,455.240.00
2020-03-31163,646.670.0014,289.920.000.000.000.001,582.580.00
2019-12-31123,109.250.0010,969.530.000.000.000.001,220.820.00
2019-09-30131,933.140.0012,552.990.000.000.000.00888.070.00
2019-06-30118,274.600.008,969.170.000.000.000.00324.590.00
2019-03-31120,234.950.0010,013.240.000.000.000.00516.140.00
2018-12-3190,010.260.007,330.710.000.000.000.00363.380.00
2018-09-3096,836.890.005,831.270.000.000.000.00180.200.00