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基金业绩

基金费率

投资组合

基金概况

财务数据

国泰价值精选灵活配置混合C(011324)

2025-05-30     1.7270-0.7699%
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
2025-03-3119,237.9814,739.434,476.530.000.000.000.00127.200.00
2024-12-3121,416.9817,802.553,672.430.000.000.000.006.270.00
2024-09-3023,471.6020,025.613,121.930.000.000.000.00380.390.00
2024-06-3022,008.2118,232.143,826.680.000.000.000.004.330.00
2024-03-3122,947.1220,486.292,505.380.000.000.000.004.300.00
2023-12-3125,735.2923,955.901,846.820.000.000.000.002.960.00
2023-09-3028,083.1326,113.002,019.270.000.000.000.0030.400.00
2023-06-3030,688.1028,529.722,493.7420.800.000.000.007.550.00
2023-03-3136,601.1833,955.602,972.310.000.000.000.0027.030.00
2022-12-3130,158.2027,833.162,379.820.000.000.000.0048.550.00
2022-09-3029,638.1727,823.071,960.930.000.000.000.0055.160.00
2022-06-3041,601.0039,075.582,658.970.000.000.000.0014.600.00
2022-03-3133,370.2531,537.361,942.760.000.000.000.0014.380.00
2021-12-3146,009.1643,334.952,603.400.000.000.000.00251.230.00
2021-09-3043,077.2140,605.592,699.680.000.000.000.0040.750.00
2021-06-3063,283.4459,941.883,811.570.000.000.000.00100.270.00
2021-03-3173,158.7768,747.744,680.620.000.000.000.0053.770.00