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基金业绩

基金费率

投资组合

基金概况

财务数据

国泰通利9个月持有期混合C(010831)

2024-12-03     1.08370.0092%
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
2024-09-3018,033.462,505.43990.1894.7230,536.830.000.00747.550.00
2024-06-3019,528.742,528.361,574.71264.2325,527.631,016.390.006.050.00
2024-03-3123,709.182,312.761,617.30259.6920,615.511,007.710.0055.670.00
2023-12-3126,173.412,873.211,515.33278.9627,831.890.000.00390.520.00
2023-09-3031,509.785,334.402,397.69286.2758,494.140.000.0077.930.00
2023-06-3036,960.427,358.522,453.56430.74102,364.870.000.00178.810.00
2023-03-3151,528.1014,428.964,282.67436.64132,413.540.000.00319.740.00
2022-12-3184,714.2414,862.6012,622.76407.66200,149.480.000.0067.810.00
2022-09-30108,771.0310,720.987,996.19108.19266,698.075,093.120.00388.020.00
2022-06-30141,627.4921,767.4112,376.63113.35362,078.158,214.160.00344.510.00
2022-03-31134,873.9315,717.1817,418.42111.64307,389.528,132.230.00570.900.00
2021-12-31102,385.8420,117.0312,081.83122.24202,951.007,144.200.001,551.940.00
2021-09-30169,963.3619,453.2833,195.5816.39343,231.0026,490.100.008,375.370.00
2021-06-30114,814.8419,842.117,935.890.00412,010.005,047.500.001,431.920.00