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基金业绩

基金费率

投资组合

基金概况

财务数据

华泰柏瑞量化创享混合A(010137)

2024-12-17     0.7778-0.0514%
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
2024-09-3018,923.0817,936.411,049.930.000.000.000.0012.170.00
2024-06-3016,798.0715,768.241,076.520.000.000.000.005.140.00
2024-03-3117,851.4616,725.881,181.340.000.000.000.002.230.00
2023-12-3118,896.7917,734.601,251.910.000.000.000.0015.390.00
2023-09-3020,363.2919,038.181,367.480.000.000.000.0022.240.00
2023-06-3023,305.1021,876.671,436.150.000.000.000.0068.790.00
2023-03-3124,703.3423,201.601,552.144.730.000.000.0018.520.00
2022-12-3124,896.4522,726.892,198.4034.620.000.000.001.910.00
2022-09-3025,806.3523,562.561,593.796.700.000.000.00709.120.00
2022-06-3032,144.0228,906.513,324.780.000.000.000.007.760.00
2022-03-3130,756.6727,106.773,718.560.000.000.000.006.800.00
2021-12-3137,049.7232,570.464,849.540.000.000.000.0028.310.00
2021-09-3049,321.0239,581.717,271.620.000.000.000.002,964.240.00
2021-06-3094,270.8057,278.1738,238.670.000.000.000.0078.410.00
2021-03-31104,028.0113,274.7090,192.700.000.00995.000.0059.570.00