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基金业绩

基金费率

投资组合

基金概况

财务数据

嘉实优质核心两年持有期混合C(011806)

2024-12-02     0.54320.6858%
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
2024-09-3049,248.8845,148.054,179.310.000.000.000.0019.270.00
2024-06-3043,070.5339,816.123,483.110.000.000.000.001.650.00
2024-03-3148,390.8345,048.363,491.120.000.000.000.004.700.00
2023-12-3154,261.9149,786.444,643.770.000.000.000.004.150.00
2023-09-3065,292.0259,385.256,005.270.000.000.000.001.200.00
2023-06-3070,492.1564,544.206,060.650.000.000.000.007.130.00
2023-03-3177,517.7971,834.485,812.550.000.000.000.002.930.00
2022-12-3181,174.7675,108.416,206.660.000.000.000.008.090.00
2022-09-3084,910.1378,701.726,299.540.000.0084.900.004.370.00
2022-06-30101,119.2593,695.517,486.540.000.0084.500.005.710.00
2022-03-3189,556.9382,329.097,190.930.000.0083.970.00106.620.00
2021-12-31113,182.96105,516.517,698.350.000.0083.100.0081.050.00