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基金费率

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基金概况

财务数据

中信保诚新兴产业混合C(013526)

2025-01-27     2.0356-2.8863%
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
2024-12-31193,647.38180,193.5713,987.400.000.000.000.00175.770.00
2024-09-30229,057.72168,216.9045,147.900.000.000.000.009,471.400.00
2024-06-30207,455.98192,863.6913,480.280.000.000.000.001,936.070.00
2024-03-31234,972.12185,356.3529,429.020.000.000.000.003,449.440.00
2023-12-31271,205.68244,061.9625,305.5478.410.000.000.002,175.000.00
2023-09-30310,181.99288,134.5416,628.77367.030.000.000.006,103.370.00
2023-06-30404,733.06375,049.2027,309.370.000.000.000.004,467.270.00
2023-03-31432,969.13404,753.2129,582.670.000.000.000.00483.950.00
2022-12-31488,931.89453,427.1734,796.610.000.000.000.002,455.440.00
2022-09-30522,249.98476,200.1641,791.96911.390.000.000.0029,544.770.00
2022-06-30667,645.94619,671.5752,289.720.000.000.000.007,924.740.00
2022-03-31707,519.05630,254.3763,728.580.000.0020,406.690.001,729.740.00
2021-12-311,036,167.75943,946.8249,057.620.000.0020,004.000.0033,416.260.00
2021-09-301,019,602.97957,544.1346,858.200.000.0019,993.500.0019,224.470.00