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基金费率

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基金概况

财务数据

国泰中证动漫游戏ETF联接A(012728)

2024-11-22     1.1101-1.7958%
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
2024-09-30177,749.860.0013,470.190.000.000.000.009,219.200.00
2024-06-30147,869.950.0014,363.230.000.000.000.002,369.660.00
2024-03-31131,557.520.0013,812.820.000.000.000.004,548.130.00
2023-12-31114,895.510.009,235.920.000.000.000.003,807.560.00
2023-09-30121,404.390.0010,094.870.000.001,041.740.002,239.920.00
2023-06-30151,093.650.0013,478.680.000.003,173.300.004,924.720.00
2023-03-3126,110.800.003,443.740.000.000.000.001,671.120.00
2022-12-3116,166.480.001,126.550.000.000.000.00110.560.00
2022-09-3017,799.450.001,200.250.000.000.000.00819.220.00
2022-06-3021,347.010.002,399.230.000.000.000.00327.850.00
2022-03-3121,881.650.002,166.890.000.000.000.00363.110.00
2021-12-3119,061.120.002,033.910.000.000.000.00844.270.00
2021-09-307,279.550.00691.240.000.000.000.00278.180.00