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基金业绩

基金费率

投资组合

基金概况

财务数据

华宝化工ETF联接A(012537)

2024-11-20     0.61650.9167%
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
2024-09-3016,878.670.46927.700.000.000.000.00317.970.00
2024-06-3015,468.6916.191,953.590.000.000.000.00331.050.00
2024-03-3114,261.950.00827.640.000.000.000.0088.120.00
2023-12-3115,974.680.00867.050.000.000.000.00193.600.00
2023-09-3017,258.770.001,073.370.000.000.000.00217.180.00
2023-06-3017,947.710.001,120.010.000.000.000.00141.720.00
2023-03-3114,221.750.00862.310.000.000.000.00187.320.00
2022-12-3113,438.920.00859.020.000.000.000.0035.420.00
2022-09-3014,070.580.00820.420.000.000.000.0079.100.00
2022-06-3018,759.660.001,160.620.000.000.000.00303.000.00
2022-03-3121,531.400.001,366.780.000.000.000.00128.610.00
2021-12-3126,332.660.001,627.670.000.000.000.00293.470.00
2021-09-3017,549.300.001,333.390.000.000.000.001,924.740.00