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基金费率

投资组合

基金概况

财务数据

嘉合磐石C(001572)

2024-11-22     0.8029-1.1572%
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
2024-09-303,652.941,663.451,007.930.000.000.000.001,004.670.00
2024-06-303,674.931,421.962,270.820.000.000.000.005.100.00
2024-03-314,168.641,601.031,066.210.000.000.000.00125.890.00
2023-12-319,415.303,701.552,255.740.000.000.000.0011.150.00
2023-09-309,006.003,476.982,558.510.000.000.000.009.090.00
2023-06-307,567.572,870.121,919.590.000.000.000.00338.540.00
2023-03-315,486.362,140.012,727.580.000.000.000.00240.010.00
2022-12-314,823.761,828.203,037.260.000.000.000.002.260.00
2022-09-305,268.651,992.063,299.260.000.000.000.003.560.00
2022-06-305,863.112,304.113,666.550.000.000.000.008.920.00
2022-03-316,364.722,534.94584.043,827.050.000.000.00189.940.00
2021-12-318,077.963,343.41715.204,302.160.000.000.00426.170.00
2021-09-308,385.733,202.10861.334,194.240.000.000.00439.420.00
2021-06-309,827.90558.85715.387,472.994,983.000.000.001,537.410.00
2021-03-3111,084.492,615.42251.447,546.024,985.50999.000.0050.480.00
2020-12-3112,805.612,530.937,323.502,657.424,978.502,100.860.00179.050.00
2020-09-3015,282.470.004,345.140.009,983.009,986.500.00177.270.00
2020-06-3039,316.390.004,111.020.0088,935.007,026.100.005,763.110.00
2020-03-3140,255.130.00117.900.009,966.002,018.600.00741.180.00
2019-12-3175,220.600.00125.380.00419,197.0010,182.300.002,551.610.00
2019-09-3070,080.120.00683.330.0049,860.0010,191.000.00454.480.00
2019-06-3076,998.820.0013,650.950.000.000.000.00750.960.00
2019-03-31117,182.540.00121.440.0080,254.0020,305.800.005,018.220.00
2018-12-31164,387.670.00641.230.001,292,773.7010,043.000.003,724.410.00
2018-09-30123,027.600.0010,040.260.000.000.000.003,907.590.00