行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

嘉实全球互联网-人民币(000988)

2025-01-24     2.26202.3529%
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
2024-12-31104,337.6752,168.0010,262.850.000.000.000.004,468.140.00
2024-09-30136,546.4567,996.0111,054.450.000.000.000.00300.330.00
2024-06-30130,422.1555,806.7716,771.220.000.000.000.002,119.210.00
2024-03-31125,279.3954,492.0712,458.840.000.000.000.00529.700.00
2023-12-31124,587.9849,526.738,962.130.000.000.000.002,315.300.00
2023-09-30118,489.5851,161.329,882.840.000.000.000.0078.220.00
2023-06-30111,851.1959,708.2812,089.700.000.000.000.0071.160.00
2023-03-31123,649.7162,078.3714,600.770.000.000.000.0098.970.00
2022-12-31120,785.7760,545.6513,445.410.000.000.000.00966.270.00
2022-09-30106,193.6850,922.3813,222.800.000.000.000.00126.480.00
2022-06-30127,980.4672,771.4012,785.030.000.000.000.00233.710.00
2022-03-31132,140.54104,465.3519,714.250.000.000.000.00737.960.00
2021-12-31165,135.44141,169.8515,524.040.000.000.000.00333.580.00
2021-09-30141,893.79126,242.129,818.820.000.000.000.00230.300.00
2021-06-30158,723.33130,882.2613,690.030.000.000.000.00291.870.00
2021-03-31152,498.51113,062.7115,717.650.000.000.000.00368.950.00
2020-12-31175,271.96142,286.7512,409.300.000.000.000.00820.840.00
2020-09-30187,055.65140,657.9225,378.510.000.000.000.00814.560.00
2020-06-30165,259.10132,841.979,824.740.000.000.000.002,491.230.00
2020-03-31143,980.75111,383.6611,922.770.000.000.000.002,378.330.00
2019-12-31173,324.89135,088.1817,606.460.000.000.000.003,634.570.00
2019-09-30172,651.27128,249.4227,431.480.000.000.000.00220.340.00
2019-06-30194,035.08151,089.6324,016.720.000.000.000.00157.670.00
2019-03-31212,336.40162,254.8330,367.300.000.000.000.00231.710.00
2018-12-31191,821.70134,891.9227,298.380.000.000.000.004,222.540.00