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基金业绩

基金费率

投资组合

基金概况

财务数据

嘉实新起点混合C(002178)

2024-11-22     1.1947-0.0753%
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
2024-09-30171,567.260.005,568.998,111.1071,048.9477,400.760.001,346.560.00
2024-06-3065,314.900.001,309.141,552.4075,046.2327,640.800.005,332.270.00
2024-03-3142,228.190.00331.25356.9397,757.429,151.040.00639.430.00
2023-12-3130,031.870.004,305.360.0054,777.614,895.800.00178.660.00
2023-09-307,816.370.003,955.530.001,038.440.000.002,482.760.00
2023-06-304,763.97610.90109.83306.054,105.032,021.050.0054.390.00
2023-03-3115,613.883,337.33347.54304.9724,686.165,088.410.0030.620.00
2022-12-3126,925.886,253.46267.93873.8731,467.028,893.180.0068.690.00
2022-09-3053,363.8113,180.31602.431,854.0555,827.2529,259.990.001,209.250.00
2022-06-3055,663.1714,628.151,569.813,412.9056,018.0226,591.150.00110.120.00
2022-03-3158,045.8813,523.403,920.963,501.9761,115.8427,947.800.00229.420.00
2021-12-3166,468.5213,278.484,350.251,087.7759,065.9424,310.500.001,773.120.00
2021-09-3070,808.1412,387.984,878.071,101.2458,720.5722,617.060.00987.990.00
2021-06-3058,682.2912,943.763,801.17388.4618,562.0622,224.180.001,039.980.00
2021-03-3153,432.0512,742.293,629.70357.8430,212.4510,635.620.00756.460.00
2020-12-3171,760.4719,443.361,425.01410.9155,781.0011,995.400.001,148.400.00
2020-09-3055,093.5014,922.08259.912.92104,460.264,395.180.001,303.760.00
2020-06-3038,417.3710,830.634,024.9419.8066,106.430.000.00559.630.00
2020-03-3136,829.1510,320.733,604.3513.9750,739.000.000.00504.430.00
2019-12-3138,558.7510,683.20465.5356.5951,252.493,002.100.00481.310.00
2019-09-3036,711.587,671.89409.330.0098,405.542,996.700.00801.500.00
2019-06-30533.080.00536.760.000.000.000.000.100.00
2019-03-31555.730.00560.980.000.000.000.002.860.00
2018-12-31609.280.00606.010.000.000.000.0021.440.00
2018-09-3048,601.281,976.433,158.70109.766,885.33966.460.00591.660.00