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基金业绩

基金费率

投资组合

基金概况

财务数据

国金惠诚C(010250)

2024-11-20     0.99460.1410%
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
2024-09-3022,889.443,175.064,919.843,637.860.006,665.830.00200.720.00
2024-06-3022,601.491,601.007,161.051,931.500.008,872.360.001,481.270.00
2024-03-315,206.77225.102,636.48864.490.002,977.490.0020.220.00
2023-12-315,232.350.002,441.33783.540.003,478.880.0077.220.00
2023-09-305,362.070.001,718.41166.850.003,049.100.002.660.00
2023-06-305,254.2944.702,062.25633.210.004,091.680.0019.060.00
2023-03-315,464.84245.822,929.061,088.460.002,039.340.0054.680.00
2022-12-315,968.05322.855,127.46261.780.001,115.210.0053.520.00
2022-09-306,000.71299.474,793.760.000.001,113.080.00118.000.00
2022-06-30895.74105.11730.4385.970.0042.220.0028.240.00
2022-03-31958.8095.64763.2564.970.0084.530.0015.870.00
2021-12-311,096.35108.39736.19165.130.0082.170.0016.050.00
2021-09-301,338.540.00208.04177.250.001,287.690.0052.800.00
2021-06-303,555.960.00590.69282.370.003,552.270.0068.750.00