行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

国泰诚益混合C(011996)

2024-12-02     0.97070.5490%
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
2024-09-305,197.73255.971,326.180.006,045.62405.270.0013.580.00
2024-06-3017,057.040.005,747.230.000.001,227.060.002.050.00
2024-03-312,995.56461.092,003.06535.140.000.000.0011.380.00
2023-12-3117,296.383,742.233,046.72721.7264,370.140.000.002.900.00
2023-09-3017,765.184,883.571,534.48744.0851,731.090.000.003.830.00
2023-06-3018,763.053,693.762,968.99988.0976,523.500.000.0055.160.00
2023-03-3120,971.505,035.932,277.69971.52101,588.730.000.005.120.00
2022-12-3133,589.686,310.744,015.172,149.82101,191.700.000.0010.440.00
2022-09-3042,157.836,606.638,520.382,232.54152,192.320.000.0016.040.00
2022-06-3066,438.9611,591.947,804.012,415.30378,192.670.000.00972.380.00
2022-03-3182,076.1912,292.867,449.032,287.05378,514.04819.020.0012.290.00
2021-12-3196,002.3615,040.918,125.332,111.23382,402.00800.560.00838.540.00
2021-09-3080,490.6412,978.2911,269.140.00301,366.00800.480.00809.120.00