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基金业绩

基金费率

投资组合

基金概况

财务数据

中金金序量化蓝筹混合C(005406)

2022-09-15     1.0915-2.5446%
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
2022-06-30342.74310.5635.420.000.000.000.000.120.00
2022-03-31288.26262.4331.120.000.000.000.000.040.00
2021-12-31347.00320.5684.790.000.000.000.000.220.00
2021-09-30358.45186.55177.150.000.000.000.006.710.00
2021-06-30380.16199.60185.260.000.000.000.003.810.00
2021-03-311,202.91718.85115.650.000.000.000.006.650.00
2020-12-312,738.041,703.79828.465.500.000.000.00289.330.00
2020-09-3017,507.6516,282.724,303.420.002,009.600.000.0022.410.00
2020-06-3012,253.327,018.601,347.730.002,021.800.000.003.240.00
2020-03-3111,950.676,383.251,185.690.002,030.800.000.00203.310.00
2019-12-3112,801.247,002.691,292.829.502,025.800.000.00123.180.00
2019-09-3010,432.896,682.631,119.211.602,024.400.000.0016.460.00
2019-06-3010,232.019,200.69638.520.002,018.400.000.00219.870.00
2019-03-313,083.922,496.78224.241.772,020.800.000.00179.570.00
2018-12-316,109.304,858.0868.420.006,992.30331.450.0055.530.00
2018-09-305,693.574,269.97126.760.007,986.20503.000.0034.790.00
2018-06-3011,105.748,220.00900.890.0011,443.450.000.0048.090.00