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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏创业板成长ETF联接A(007474)

2026-01-23     2.1200-1.3862%
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
2025-12-31100,762.080.007,529.540.000.000.000.00480.480.00
2025-09-30115,940.510.007,137.740.000.000.000.00907.040.00
2025-06-30113,570.130.006,978.130.000.000.000.00792.600.00
2025-03-31113,903.040.006,638.730.000.000.000.00262.420.00
2024-12-31123,780.070.007,601.390.000.000.000.00513.250.00
2024-09-30139,483.560.007,374.680.000.000.000.001,798.400.00
2024-06-30118,091.160.006,822.880.000.000.000.00214.200.00
2024-03-31122,582.410.007,174.020.000.000.000.00248.540.00
2023-12-31116,390.290.006,694.110.000.000.000.00926.060.00
2023-09-30120,780.710.006,914.070.000.000.000.00279.130.00
2023-06-30126,416.670.007,074.150.000.000.000.00700.610.00
2023-03-31115,268.880.006,399.650.000.000.000.00726.020.00
2022-12-31111,948.980.006,311.830.000.000.000.00209.930.00
2022-09-30101,711.060.006,038.400.000.000.000.00412.070.00
2022-06-30122,387.97604.227,804.670.000.000.000.00648.630.00
2022-03-31105,955.38279.876,092.370.000.000.000.00863.630.00
2021-12-31112,086.530.006,375.420.000.000.000.00404.740.00
2021-09-30119,774.290.007,131.960.000.000.000.001,156.730.00
2021-06-30121,516.780.008,971.500.000.000.000.002,432.510.00
2021-03-3198,722.240.005,708.590.000.000.000.00709.400.00
2020-12-3148,049.480.002,764.560.000.000.000.001,653.910.00
2020-09-3043,941.460.002,556.490.000.000.000.00239.210.00
2020-06-3023,210.610.002,295.760.000.000.000.00688.900.00
2020-03-3115,368.170.00909.610.000.000.000.0090.420.00
2019-12-315,600.470.00394.020.000.000.000.00158.220.00