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

嘉实物流产业股票A(003298)

2025-01-27     2.25400.2223%
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
2024-12-3154,338.7247,220.327,243.180.000.000.000.00174.110.00
2024-09-3069,951.6662,628.639,005.270.000.000.000.00562.040.00
2024-06-3065,662.5158,681.447,008.610.000.000.000.001,577.990.00
2024-03-3175,212.7264,947.8311,227.50193.570.000.000.001,290.500.00
2023-12-3182,370.5374,987.617,383.51202.230.000.000.00379.940.00
2023-09-30111,513.98103,548.388,480.95223.520.000.000.00558.380.00
2023-06-30127,221.01119,365.408,739.02218.630.000.000.00526.680.00
2023-03-31163,795.58154,426.2412,872.330.000.000.000.001,094.250.00
2022-12-31242,309.55206,202.7540,257.120.000.000.000.006,463.830.00
2022-09-30157,719.30131,706.0425,920.650.000.000.000.001,951.620.00
2022-06-30106,375.6593,625.5811,011.310.000.000.000.004,225.380.00
2022-03-3195,507.7482,337.1612,689.300.000.000.000.00997.230.00
2021-12-3146,850.8241,253.835,690.02526.550.000.000.00656.560.00
2021-09-3026,090.0122,185.484,088.9721.490.000.000.00464.420.00
2021-06-3027,388.3524,335.403,272.8519.590.000.000.00393.820.00
2021-03-3129,947.9025,184.035,876.9317.200.000.000.00400.450.00
2020-12-3119,067.9117,349.641,875.83152.600.000.000.00112.540.00
2020-09-3016,941.2514,228.102,882.000.000.000.000.00137.620.00
2020-06-3014,160.8313,048.221,679.7813.820.000.000.00314.220.00
2020-03-3110,261.489,257.211,011.290.000.000.000.00178.340.00
2019-12-3111,633.7210,856.691,087.260.000.000.000.0077.080.00
2019-09-3010,160.978,769.821,322.867.330.000.000.00108.680.00
2019-06-309,307.948,409.75894.300.000.000.000.0080.050.00
2019-03-3110,143.348,720.801,579.170.000.000.000.0099.470.00
2018-12-319,267.988,345.69968.550.000.000.000.007.580.00