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基金业绩

基金费率

投资组合

基金概况

财务数据

鹏华香港银行指数C(LOF)(010365)

2025-03-05     1.74381.6852%
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
2024-12-31408,168.45376,267.03125,998.180.000.000.000.001,276.870.00
2024-09-30204,930.19192,798.6517,009.390.000.000.000.008,765.360.00
2024-06-30119,058.06111,968.088,747.990.000.000.000.001,867.540.00
2024-03-3158,423.0754,726.413,365.650.000.000.000.001,765.430.00
2023-12-3158,263.0154,647.134,373.340.000.000.000.00663.480.00
2023-09-3075,255.7670,901.708,658.210.000.000.000.00155.420.00
2023-06-3075,560.3671,301.974,510.670.000.000.000.00253.600.00
2023-03-3170,849.1366,927.415,027.410.000.000.000.00306.880.00
2022-12-3188,356.8083,472.555,068.600.000.000.000.00548.340.00
2022-09-3073,031.8868,742.248,371.790.000.000.000.00259.770.00
2022-06-3091,149.1285,357.0611,081.940.000.000.000.001,131.930.00
2022-03-3198,076.5392,652.446,127.480.000.000.000.00922.270.00
2021-12-3181,173.2777,274.7415,115.230.000.000.000.003.040.00
2021-09-30104,651.2998,563.596,117.800.000.000.000.00227.410.00
2021-06-30122,644.17115,379.3117,338.540.000.000.000.003,492.970.00
2021-03-31133,056.08126,398.268,372.800.000.000.000.00509.310.00
2020-12-3168,198.0765,349.183,986.450.000.000.000.00551.920.00