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基金业绩

基金费率

投资组合

基金概况

财务数据

融通深证100指数C(004876)

2024-11-20     1.33300.3010%
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
2024-09-30470,395.10446,064.1125,351.590.000.000.000.00607.630.00
2024-06-30393,599.21370,469.3323,250.260.000.000.000.00610.750.00
2024-03-31406,838.37385,225.9722,215.430.000.000.000.00159.740.00
2023-12-31403,082.01379,918.9123,818.330.000.000.000.00131.640.00
2023-09-30432,043.99406,946.0925,735.550.000.000.000.00154.130.00
2023-06-30465,424.62439,768.8628,003.360.000.000.000.0098.430.00
2023-03-31495,949.89469,715.5127,108.710.000.000.000.00101.740.00
2022-12-31473,954.56448,509.3626,143.200.000.000.000.00115.950.00
2022-09-30462,522.95432,212.5931,936.72146.550.000.000.00374.920.00
2022-06-30547,269.86519,032.0126,968.740.000.002,039.210.00523.160.00
2022-03-31493,744.19465,529.0327,786.8754.090.007,130.080.00154.200.00
2021-12-31594,787.43563,598.3619,983.110.000.0012,004.200.00555.560.00
2021-09-30584,147.50554,577.5918,464.040.000.0012,001.700.00407.730.00
2021-06-30636,066.53603,771.2434,651.98239.320.000.000.00994.260.00
2021-03-31574,227.87543,343.8731,706.72616.730.000.000.00228.730.00
2020-12-31631,408.45599,209.0232,100.090.000.000.000.004,347.530.00
2020-09-30561,004.80532,453.5429,564.930.000.000.000.00481.950.00
2020-06-30557,247.80528,769.1730,941.32406.490.000.000.001,997.300.00
2020-03-31482,410.38456,059.2827,573.22143.680.000.000.00630.090.00
2019-12-31542,934.08515,545.4025,129.8360.910.003,002.100.002,613.010.00
2019-09-30516,350.89488,709.5918,618.940.000.009,998.800.00737.240.00
2019-06-30508,844.59482,010.2113,699.260.000.0014,212.130.00546.780.00
2019-03-31513,999.90487,714.708,810.840.000.0016,230.150.002,824.520.00
2018-12-31377,130.81358,036.519,401.400.000.0018,021.800.00545.080.00
2018-09-30512,012.38485,923.288,558.610.000.0018,003.000.00529.690.00