创业板指
1535.17
-16.64
-1.07%
深证成指
7983.55
-70.69
-0.88%
上证指数
2704.09
-13.03
-0.48%
恒生指数
17422.1
53.03
0.31%
景顺长城泰恒回报混合A (005325)
阶段统计
- 涨幅
- 同类平均
- 同类排名
- 排名变动
- 四分位排名
- 今年来
- 近1周
- 近1月
- 近3月
- 近6月
- 近1年
- 近2年
- 近3年
- 近5年
- 成立来
- 6.49%
- 0.39%
- 3.14%
- 5.11%
- 5.86%
- 6.24%
- 6.61%
- 17.07%
- 96.32%
- 67.95%
- -7.62%
- -1.09%
- 2.80%
- -2.14%
- -6.67%
- -8.68%
- -22.20%
- -9.66%
- 58.46%
- ---
- 56|2195
- 40|2298
- 16|2297
- 5|2261
- 13|2232
- 123|2172
- 49|2014
- 140|1866
- 296|1643
- ---
- 5↓
- 39↓
- 4↓
- ---
- 2↓
- 24↓
- 2↓
- 8↓
- 7↓
- ---
- 优秀
- 优秀
- 优秀
- 优秀
- 优秀
- 优秀
- 优秀
- 优秀
- 优秀
- ---
主要财务指标
- 报告期
- 本期已实现收益(元)
- 本期利润(元)
- 加权平均基金份额本期利润
- 本期加权平均净值利润率
- 本期基金份额净值增长率
- 期末可供分配利润(元)
- 期末可供分配基金份额利润
- 期末基金资产净值
- 期末基金份额净值
- 基金份额累计净值增长率
- 2023-06-30
- 202,024.61
- 512,294.91
- 0.01
- 0.85%
- 0.79%
- 18,759,210.67
- 0.59
- 50,578,899.99
- 1.59
- 58.95%
- 2022-12-31
- 679,194.14
- -5,682,016.74
- -0.05
- -3.38%
- -1.00%
- 23,998,864.88
- 0.58
- 65,579,500.66
- 1.58
- 57.71%
- 2022-06-30
- -150,565.01
- -3,683,571.62
- -0.02
- -1.54%
- 1.30%
- 47,107,890.97
- 0.58
- 131,245,467.55
- 1.61
- 61.37%
- 2021-12-31
- 31,191,767.55
- 30,291,833.04
- 0.12
- 7.68%
- 7.35%
- 137,719,600.23
- 0.59
- 371,274,915.70
- 1.59
- 59.30%
- 2022-12-31
- 679,194.14
- -5,682,016.74
- -0.05
- -3.38%
- -1.00%
- 23,998,864.88
- 0.58
- 65,579,500.66
- 1.58
- 57.71%
- 2022-06-30
- -150,565.01
- -3,683,571.62
- -0.02
- -1.54%
- 1.30%
- 47,107,890.97
- 0.58
- 131,245,467.55
- 1.61
- 61.37%
- 2021-12-31
- 31,191,767.55
- 30,291,833.04
- 0.12
- 7.68%
- 7.35%
- 137,719,600.23
- 0.59
- 371,274,915.70
- 1.59
- 59.30%
- 2021-06-30
- 22,658,168.70
- 22,030,385.38
- 0.08
- 5.04%
- 4.91%
- 99,643,369.95
- 0.55
- 281,163,356.78
- 1.56
- 55.68%
- 2021-12-31
- 31,191,767.55
- 30,291,833.04
- 0.12
- 7.68%
- 7.35%
- 137,719,600.23
- 0.59
- 371,274,915.70
- 1.59
- 59.30%
- 2021-06-30
- 22,658,168.70
- 22,030,385.38
- 0.08
- 5.04%
- 4.91%
- 99,643,369.95
- 0.55
- 281,163,356.78
- 1.56
- 55.68%
- 2020-12-31
- 43,911,494.11
- 43,181,197.00
- 0.18
- 13.32%
- 32.76%
- 161,882,588.83
- 0.47
- 512,781,891.13
- 1.48
- 48.39%
- 2020-06-30
- 21,793,944.96
- 14,067,708.76
- 0.09
- 7.98%
- 9.17%
- 15,454,031.04
- 0.19
- 97,860,189.02
- 1.22
- 22.02%
- 2020-12-31
- 43,911,494.11
- 43,181,197.00
- 0.18
- 13.32%
- 32.76%
- 161,882,588.83
- 0.47
- 512,781,891.13
- 1.48
- 48.39%
- 2020-06-30
- 21,793,944.96
- 14,067,708.76
- 0.09
- 7.98%
- 9.17%
- 15,454,031.04
- 0.19
- 97,860,189.02
- 1.22
- 22.02%
- 2019-12-31
- 24,190,237.12
- 48,388,552.90
- 0.30
- 30.07%
- 36.96%
- 7,159,671.33
- 0.04
- 179,087,405.60
- 1.12
- 11.77%
- 2019-06-30
- 15,526,312.91
- 29,335,364.46
- 0.18
- 19.13%
- 22.39%
- -1,502,582.25
- -0.01
- 160,058,085.61
- 1.00
- -0.12%
- 2019-12-31
- 24,190,237.12
- 48,388,552.90
- 0.30
- 30.07%
- 36.96%
- 7,159,671.33
- 0.04
- 179,087,405.60
- 1.12
- 11.77%
- 2019-06-30
- 15,526,312.91
- 29,335,364.46
- 0.18
- 19.13%
- 22.39%
- -1,502,582.25
- -0.01
- 160,058,085.61
- 1.00
- -0.12%
- 2018-12-31
- -17,005,967.18
- -29,454,650.40
- -0.18
- -19.21%
- -18.39%
- -29,503,789.95
- -0.18
- 130,980,310.82
- 0.82
- -18.39%
- 2018-06-30
- 4,613,876.78
- -7,894,016.63
- -0.05
- -4.79%
- -4.98%
- -8,025,691.51
- -0.05
- 153,417,995.02
- 0.95
- -4.98%
- 2018-12-31
- -17,005,967.18
- -29,454,650.40
- -0.18
- -19.21%
- -18.39%
- -29,503,789.95
- -0.18
- 130,980,310.82
- 0.82
- -18.39%
- 2018-06-30
- 4,613,876.78
- -7,894,016.63
- -0.05
- -4.79%
- -4.98%
- -8,025,691.51
- -0.05
- 153,417,995.02
- 0.95
- -4.98%
资产配置
- 报告期
- 股票占净比
- 债券占净比
- 现金占净比
- 净资产(亿元)
- 2023-09-30
- ---
- ---
- 98.36%
- 0.01
- 2023-06-30
- 20.43%
- 75.51%
- 4.31%
- 0.73
- 2023-03-31
- 20.33%
- 77.17%
- 2.70%
- 1.19
- 2022-12-31
- 20.46%
- 67.91%
- 5.84%
- 1.67
- 2022-09-30
- 20.68%
- 81.39%
- 1.61%
- 4.59
- 2022-06-30
- 20.03%
- 67.65%
- 1.36%
- 5.85
- 2022-03-31
- 21.20%
- 84.69%
- 2.82%
- 7.06
- 2021-12-31
- 18.44%
- 85.00%
- 3.90%
- 8.70
- 2021-09-30
- 19.27%
- 98.14%
- 2.69%
- 7.95
- 2021-06-30
- 19.70%
- 99.71%
- 0.86%
- 7.16
- 2021-03-31
- 23.01%
- 81.21%
- 0.64%
- 6.95
- 2020-12-31
- 23.62%
- 82.87%
- 3.15%
- 7.03
- 2020-09-30
- 20.08%
- 77.40%
- 1.81%
- 7.28
- 2020-06-30
- 44.96%
- 7.93%
- 29.54%
- 1.07
- 2020-03-31
- 90.73%
- ---
- 9.46%
- 1.74
- 2019-12-31
- 91.41%
- 0.03%
- 8.85%
- 1.79
- 2019-09-30
- 88.99%
- ---
- 11.19%
- 1.67
- 2019-06-30
- 91.24%
- ---
- 9.07%
- 1.60
- 2019-03-31
- 91.33%
- 0.02%
- 8.76%
- 1.65
- 2018-12-31
- 90.88%
- ---
- 9.52%
- 1.32
- 2018-09-30
- 92.65%
- ---
- 7.72%
- 1.50
- 2018-06-30
- 91.38%
- ---
- 8.89%
- 1.55
- 2018-03-31
- 92.44%
- ---
- 7.83%
- 1.65
基金实时行情
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- 消费主题基金又领跌!何时才能反攻? | 09-14
- 首批中证A500ETF募集金额超60亿元 吸引中长期资金进场提供多元化投资选择 | 09-14
- 金价“狂飙” 黄金ETF全线大涨 | 09-14
- 沪深交易所持续完善ETF生态圈 上半年境内ETF规模增长4200亿元 | 09-14
- 首只提前结募中证A500ETF现身 机构称长期布局正当时 | 09-14
- 沪深交易所发布ETF投资交易白皮书 我国ETF市场总规模突破2万亿元 | 09-14
- 一组图读懂我国延迟退休政策 内附退休年龄查询方式 | 09-14
- 国务院:从2030年1月1日起将职工按月领取基本养老金最低缴费年限由十五年逐步提高至二十年 每年提高六个月 | 09-14
- 首批中证A500ETF合计募集规模突破60亿 | 09-14