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基金业绩

基金费率

投资组合

基金概况

财务数据

建信上证50ETF联接C(005881)

2025-02-14     1.22610.6650%
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
2024-12-319,362.63121.56641.910.000.000.000.0013.470.00
2024-09-3010,427.78246.10620.440.000.000.000.00108.410.00
2024-06-308,777.76211.35563.540.000.000.000.0013.350.00
2024-03-318,840.52105.93492.690.000.000.000.00125.150.00
2023-12-318,633.59101.61579.450.000.000.000.0032.350.00
2023-09-309,992.28221.55836.810.000.000.000.0014.010.00
2023-06-309,644.64211.62651.320.000.000.000.0039.480.00
2023-03-319,906.98233.86591.220.000.000.000.0016.680.00
2022-12-3110,367.36116.07689.520.000.000.000.0014.470.00
2022-09-3010,192.82225.98642.410.000.000.000.0025.300.00
2022-06-309,975.56132.63620.100.000.000.000.00140.580.00
2022-03-319,728.830.00765.490.000.000.000.0022.850.00
2021-12-319,662.800.00772.210.000.000.000.0066.210.00
2021-09-309,199.42133.21715.180.000.000.000.00155.720.00
2021-06-306,856.750.96554.862.000.000.000.0032.850.00
2021-03-316,463.58145.70493.060.000.000.000.0010.790.00
2020-12-316,743.130.0091.200.000.000.000.00524.490.00
2020-09-307,157.1777.40492.010.000.000.000.00113.110.00
2020-06-305,612.200.00499.540.000.000.000.00121.960.00
2020-03-315,506.09204.78370.200.000.000.000.0036.620.00
2019-12-315,324.130.00451.741.500.000.000.00102.490.00
2019-09-303,439.5832.28253.400.000.000.000.0010.670.00
2019-06-302,450.680.00195.030.000.000.000.008.060.00
2019-03-312,389.1562.88147.660.000.000.000.009.570.00
2018-12-312,715.10720.321,204.340.000.000.000.006.950.00