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基金费率

投资组合

基金概况

财务数据

长城价值成长六个月持有期混合C(010285)

2024-12-03     0.5717-1.1071%
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
2024-09-3036,244.0933,091.822,182.820.000.000.000.001,154.130.00
2024-06-3035,398.7331,042.163,960.750.000.000.000.00603.670.00
2024-03-3137,792.5834,083.193,133.500.000.000.000.00269.330.00
2023-12-3140,532.1635,172.356,335.230.000.000.000.0019.570.00
2023-09-3043,667.8038,788.524,786.620.000.000.000.001,003.830.00
2023-06-3058,242.4154,279.044,504.780.000.000.000.00142.870.00
2023-03-3162,226.8657,226.845,228.970.000.000.000.00525.920.00
2022-12-3159,892.5552,890.924,649.550.000.000.000.002,708.140.00
2022-09-3065,837.4055,552.776,086.310.000.000.000.004,588.490.00
2022-06-3075,567.4068,001.337,302.140.000.000.000.0087.500.00
2022-03-3171,389.0262,170.896,813.260.000.000.000.0052.580.00
2021-12-3193,333.2084,408.809,523.530.000.000.000.001,127.540.00
2021-09-30152,687.28118,415.7935,764.980.000.000.000.005,986.210.00
2021-06-30226,353.00128,612.2298,333.000.000.000.000.00663.440.00