创业板指
2208.78
58.68
2.73%
深证成指
10566.1
232.87
2.25%
上证指数
3309.78
50.02
1.53%
恒生指数
19603.1
443.93
2.32%
东财信息产业精选C (010308)
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
- -1.77%
- 2.79%
- -1.40%
- -6.78%
- -7.49%
- -3.64%
- -20.86%
- -25.12%
- ---
- -25.12%
- -11.43%
- -1.18%
- 3.58%
- -2.75%
- -8.48%
- -12.11%
- -31.00%
- -18.98%
- 67.16%
- ---
- 388|3474
- 3184|3925
- 1380|3927
- 1086|3836
- 815|3714
- 1037|3347
- 443|2356
- 888|1334
- ---|586
- ---
- 14↑
- 334↑
- 237↓
- 251↑
- 49↓
- 102↓
- 33↑
- ---
- ---
- ---
- 优秀
- 不佳
- 良好
- 良好
- 优秀
- 良好
- 优秀
- 一般
- ---
- ---
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
- 173,445.10
- 744,258.07
- 0.06
- 7.30%
- 8.64%
- -2,096,696.81
- -0.17
- 10,109,904.82
- 0.83
- -17.18%
- 2022-12-31
- -2,499,333.77
- -2,844,801.50
- -0.26
- -32.31%
- -26.47%
- -2,822,543.60
- -0.24
- 9,052,816.84
- 0.76
- -23.77%
- 2022-06-30
- -2,656,754.23
- -2,094,320.95
- -0.20
- -23.80%
- -20.09%
- -1,830,391.56
- -0.17
- 8,807,449.59
- 0.83
- -17.16%
- 2021-12-31
- 1,091,690.13
- 1,279,453.17
- 0.09
- 8.79%
- 5.29%
- 362,617.55
- 0.04
- 10,248,444.43
- 1.04
- 3.67%
- 2022-12-31
- -2,499,333.77
- -2,844,801.50
- -0.26
- -32.31%
- -26.47%
- -2,822,543.60
- -0.24
- 9,052,816.84
- 0.76
- -23.77%
- 2022-06-30
- -2,656,754.23
- -2,094,320.95
- -0.20
- -23.80%
- -20.09%
- -1,830,391.56
- -0.17
- 8,807,449.59
- 0.83
- -17.16%
- 2021-12-31
- 1,091,690.13
- 1,279,453.17
- 0.09
- 8.79%
- 5.29%
- 362,617.55
- 0.04
- 10,248,444.43
- 1.04
- 3.67%
- 2021-06-30
- -388,519.13
- 1,489,160.20
- 0.08
- 8.24%
- 8.16%
- -583,135.58
- -0.04
- 15,801,767.57
- 1.06
- 6.49%
- 2021-12-31
- 1,091,690.13
- 1,279,453.17
- 0.09
- 8.79%
- 5.29%
- 362,617.55
- 0.04
- 10,248,444.43
- 1.04
- 3.67%
- 2021-06-30
- -388,519.13
- 1,489,160.20
- 0.08
- 8.24%
- 8.16%
- -583,135.58
- -0.04
- 15,801,767.57
- 1.06
- 6.49%
- 2020-12-31
- -265,354.27
- -409,601.81
- -0.01
- -1.50%
- -1.54%
- -382,263.93
- -0.02
- 24,476,648.44
- 0.98
- -1.54%
- 2020-12-31
- -265,354.27
- -409,601.81
- -0.01
- -1.50%
- -1.54%
- -382,263.93
- -0.02
- 24,476,648.44
- 0.98
- -1.54%
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
- 62.31%
- ---
- 38.64%
- 0.26
- 2023-06-30
- 83.60%
- ---
- 16.59%
- 0.30
- 2023-03-31
- 79.46%
- ---
- 20.99%
- 0.31
- 2022-12-31
- 87.60%
- ---
- 12.71%
- 0.27
- 2022-09-30
- 84.91%
- ---
- 15.53%
- 0.25
- 2022-06-30
- 87.96%
- ---
- 12.85%
- 0.29
- 2022-03-31
- 77.93%
- ---
- 22.45%
- 0.29
- 2021-12-31
- 82.23%
- ---
- 18.97%
- 0.36
- 2021-09-30
- 94.87%
- ---
- 5.78%
- 0.36
- 2021-06-30
- 93.08%
- ---
- 8.67%
- 0.56
- 2021-03-31
- 90.52%
- ---
- 9.90%
- 0.55
- 2020-12-31
- 81.27%
- ---
- 19.93%
- 0.76
基金实时行情
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