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基金费率

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基金概况

财务数据

嘉实深证基本面120ETF联接A(070023)

2025-01-27     2.0365-0.1862%
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
2024-12-3129,918.180.091,625.760.000.000.000.0040.520.00
2024-09-3035,179.771.421,797.430.000.000.000.00370.380.00
2024-06-3031,837.610.001,813.630.000.000.000.0012.820.00
2024-03-3131,359.660.001,744.540.000.000.000.0016.830.00
2023-12-3130,972.170.001,679.770.000.000.000.0022.590.00
2023-09-3033,771.640.221,920.010.000.000.000.0089.450.00
2023-06-3034,007.450.721,764.380.000.000.000.0011.770.00
2023-03-3136,570.95155.781,896.840.000.000.000.0013.690.00
2022-12-3134,373.58107.171,780.620.000.000.000.0054.290.00
2022-09-3033,941.380.301,802.490.000.000.000.0047.170.00
2022-06-3040,340.1286.632,119.490.000.000.000.00158.770.00
2022-03-3140,345.3858.282,110.730.010.000.000.0026.320.00
2021-12-3146,553.25156.022,543.400.000.000.000.0036.750.00
2021-09-3050,700.62655.942,701.940.000.000.000.00172.470.00
2021-06-3055,855.77124.213,056.840.000.000.000.0085.130.00
2021-03-3159,298.99827.013,223.581.280.000.000.00302.000.00
2020-12-3192,697.1685.136,655.920.000.000.000.001,411.650.00
2020-09-30105,342.933,562.045,606.630.000.000.000.00100.240.00
2020-06-30108,584.752,171.395,974.351.670.000.000.00574.990.00
2020-03-31110,943.494,455.105,877.110.500.00110.100.00841.670.00
2019-12-31144,391.5197.217,496.45110.900.00110.640.00548.040.00
2019-09-30130,292.593,317.666,759.110.000.00110.780.00152.550.00
2019-06-30119,900.553,013.116,177.200.000.00111.110.00259.110.00
2019-03-3198,831.483,512.505,189.820.230.0030.000.00293.200.00
2018-12-3158,385.901,563.363,119.270.000.000.000.00257.610.00