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基金业绩

基金费率

投资组合

基金概况

财务数据

中信保诚成长动力混合A(009913)

2025-03-07     1.1635-0.9366%
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
2024-12-3121,294.5519,043.062,326.660.000.000.000.0022.440.00
2024-09-3021,436.4219,949.252,191.600.000.000.000.00756.940.00
2024-06-3019,120.9716,625.422,263.630.000.000.000.00907.220.00
2024-03-3119,612.6416,566.363,336.600.000.000.000.00352.080.00
2023-12-3127,861.9019,883.018,257.380.000.000.000.00235.370.00
2023-09-3032,977.5426,794.066,161.640.000.000.000.003,028.410.00
2023-06-3036,076.6429,374.535,939.140.000.000.000.00949.100.00
2023-03-3140,026.9134,162.156,375.740.000.000.000.00273.280.00
2022-12-3138,447.5027,499.6411,386.700.000.000.000.0052.740.00
2022-09-3050,990.8437,738.4713,469.190.000.000.000.0069.120.00
2022-06-3090,726.5575,443.4514,277.990.000.000.000.001,889.890.00
2022-03-3188,559.9070,969.0716,781.79159.140.000.000.001,129.570.00
2021-12-3179,963.4767,128.3613,035.40116.100.000.000.00264.110.00
2021-09-3064,489.7053,040.8411,716.690.000.000.000.001,001.290.00
2021-06-3054,431.9951,713.743,838.3567.050.000.000.00144.550.00
2021-03-3159,000.3548,524.6610,479.5745.100.000.000.00141.210.00
2020-12-31101,863.6450,504.9327,087.3125.500.000.000.0089.620.00