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基金费率

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基金概况

财务数据

汇添富沪深300基本面增强指数C(010855)

2024-12-03     0.60690.0990%
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
2024-09-30374,314.30350,564.7823,780.180.000.000.000.001,118.370.00
2024-06-30334,821.39309,676.4824,338.170.000.000.000.001,667.960.00
2024-03-31348,588.56327,982.5116,352.140.000.005,082.180.001,099.030.00
2023-12-31349,263.31327,804.1517,369.230.000.005,051.940.00138.240.00
2023-09-30388,617.63366,071.3422,602.65127.620.005,021.430.00149.170.00
2023-06-30420,725.32396,346.6820,887.2158.170.004,999.930.002,202.610.00
2023-03-31454,204.00430,874.4916,511.5262.040.0010,070.030.003,625.280.00
2022-12-31456,452.47419,563.5729,691.2459.300.0010,018.340.00113.410.00
2022-09-30477,267.28434,538.6226,214.563,198.720.0015,077.550.00127.470.00
2022-06-30580,276.35543,637.5023,170.093,135.120.0014,988.490.00738.990.00
2022-03-31568,715.19519,087.7447,363.742,866.680.000.000.001,442.860.00
2021-12-31715,104.11671,322.5451,604.352,012.740.000.000.00483.920.00
2021-09-30787,547.62727,983.4563,282.181,954.860.000.000.00857.570.00
2021-06-30957,764.28898,505.7968,459.291,238.460.000.000.00531.560.00
2021-03-31898,485.05789,308.40124,929.9954.750.000.000.007,227.230.00