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基金费率

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基金概况

财务数据

天弘中证银行ETF联接A(001594)

2024-11-20     1.5280-0.4690%
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
2024-09-30359,513.637,951.4623,675.380.000.000.000.009,412.660.00
2024-06-30388,014.997,710.4720,565.200.000.000.000.001,192.900.00
2024-03-31444,500.029,332.0326,001.880.000.000.000.001,183.780.00
2023-12-31462,550.0116,188.2724,817.140.000.000.000.001,415.680.00
2023-09-30475,716.9812,819.8324,681.810.000.000.000.001,777.020.00
2023-06-30503,128.9920,153.4926,986.580.000.000.000.001,220.550.00
2023-03-31559,772.5817,665.3229,781.650.000.000.000.001,579.330.00
2022-12-31626,006.1015,705.5432,754.650.000.000.000.003,749.620.00
2022-09-30731,293.0821,997.3138,187.2060.400.000.000.006,284.080.00
2022-06-30733,971.1424,738.1538,798.520.000.000.000.008,645.060.00
2022-03-31732,782.0433,809.7537,694.1864.810.000.000.005,288.400.00
2021-12-31886,094.7739,035.1447,644.48568.100.000.000.005,551.730.00
2021-09-30883,859.6537,943.2748,313.090.000.000.000.008,440.170.00
2021-06-30974,312.9442,377.9051,575.1699.300.000.000.0015,185.760.00
2021-03-31970,915.5738,827.8651,562.60126.700.000.000.004,287.270.00
2020-12-31966,711.7812,436.0659,920.330.000.000.000.0026,870.640.00
2020-09-30859,380.75813,654.8348,271.631,053.460.000.000.009,776.870.00
2020-06-30610,247.82580,528.7938,156.230.000.000.000.0013,902.840.00
2020-03-31504,714.81473,081.4534,633.540.000.000.000.008,192.330.00
2019-12-31218,540.19207,082.8014,013.820.000.000.000.007,380.590.00
2019-09-30161,106.61152,791.8815,180.130.000.000.000.004,155.440.00
2019-06-3076,557.0572,438.724,538.240.000.000.000.001,051.450.00
2019-03-3151,789.4248,974.572,996.590.000.000.000.00936.130.00
2018-12-3147,380.9444,129.463,471.430.000.000.000.00520.410.00
2018-09-3042,237.8039,531.753,473.280.000.000.000.00937.940.00