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基金业绩

基金费率

投资组合

基金概况

财务数据

国金国鑫发起A(762001)

2025-03-31     1.0264-0.5523%
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
2024-12-3117,895.536,648.4511,269.95109.260.000.000.0013.370.00
2024-09-3010,635.976,466.232,616.251,636.440.000.000.0022.030.00
2024-06-309,916.826,251.324,295.220.000.000.000.0015.340.00
2024-03-3110,567.058,095.982,853.620.000.000.000.0022.990.00
2023-12-3110,782.039,778.691,068.330.000.000.000.00388.200.00
2023-09-3011,469.2210,305.531,217.060.000.000.000.0039.600.00
2023-06-3012,508.2810,177.772,350.450.000.000.000.00449.500.00
2023-03-3115,044.9013,366.141,770.670.000.000.000.0010.730.00
2022-12-3116,433.0415,233.831,258.340.000.000.000.0026.120.00
2022-09-3016,300.7214,699.571,668.970.000.000.000.0016.020.00
2022-06-3027,022.7923,716.583,807.320.000.000.000.0036.020.00
2022-03-3116,645.0914,776.482,083.470.000.000.000.0033.820.00
2021-12-3133,056.8727,892.244,867.150.000.000.000.00602.070.00
2021-09-3038,171.7132,885.216,146.490.000.000.000.00834.520.00
2021-06-3055,726.0742,439.008,347.3852.740.000.000.00154.360.00
2021-03-3153,257.3542,706.935,381.4158.530.000.000.001,394.010.00
2020-12-3175,487.6467,128.077,846.410.120.000.000.00908.070.00
2020-09-3047,065.3739,967.727,395.440.120.000.000.0082.950.00
2020-06-3053,588.0136,981.167,393.56149.120.000.000.002,040.850.00
2020-03-3150,570.8837,771.323,797.56721.540.000.000.001,585.410.00
2019-12-3174,067.2764,818.299,759.120.000.000.000.00138.430.00
2019-09-3041,055.9330,816.824,493.9655.400.000.000.001,660.330.00
2019-06-3026,302.2121,979.484,544.410.000.000.000.0035.620.00
2019-03-3125,950.8023,541.661,303.4836.000.001,309.030.0070.640.00
2018-12-3121,426.4318,190.582,329.380.000.001,068.180.0060.790.00