创金合信中证1000增强A
(003646.jj)中证1000 (半年) 创金合信基金管理有限公司持有人户数3,553.00
成立日期2016-12-22
总资产规模
3,854.24万 (2024-09-30)
基金类型指数型基金当前净值1.5904基金经理董梁孙悦管理费用率0.80%管托费用率0.15%持仓换手率932.99% (2024-06-30) 成立以来分红再投入年化收益率5.96%
备注 (1): 双击编辑备注
发表讨论

创金合信中证1000增强A(003646) - 历史月度涨跌幅

最后更新于:2024-12-27

数据选项
基金名称1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024创金合信中证1000增强A -16.96%7.83%2.28%2.41%-1.59%-6.58%-1.99%-2.39%19.55%3.26%5.03%1.74%8.82%
中证1000 -18.72%11.69%1.81%1.03%-2.59%-8.58%-0.14%-5.31%23.32%7.14%1.18%-0.28%4.83%
2023创金合信中证1000增强A 8.89%1.35%-1.02%-1.55%-1.41%0.35%0.58%-5.82%0.80%-2.31%2.37%-2.85%-1.30%
中证1000 8.34%2.21%-1.15%-2.22%-2.40%0.62%-1.31%-6.32%-0.42%-1.80%1.86%-3.18%-6.28%
2022创金合信中证1000增强A -12.40%5.61%-8.30%-11.46%9.70%13.58%2.25%-3.98%-8.91%-1.17%5.30%-3.86%-16.25%
中证1000 -12.95%6.41%-8.73%-15.32%10.79%10.11%1.74%-5.15%-9.27%2.74%4.73%-4.68%-21.58%
2021创金合信中证1000增强A -2.44%0.13%0.09%2.75%5.90%3.93%0.90%6.85%-2.55%-0.56%8.94%-0.31%25.45%
中证1000 -5.15%0.34%-0.51%1.41%6.77%3.95%2.52%6.42%-4.18%-0.27%9.06%-0.55%20.52%
2020创金合信中证1000增强A 3.22%1.66%-5.67%6.70%3.04%10.11%11.68%3.75%-5.19%-0.55%2.17%3.59%38.57%
中证1000 2.37%3.02%-7.56%4.63%2.43%8.65%13.01%1.15%-8.40%-1.60%1.71%0.36%19.39%
2019创金合信中证1000增强A -0.05%19.88%11.22%-1.69%-4.47%0.89%-1.00%-0.71%2.47%0.27%-1.90%9.20%36.62%
中证1000 -1.68%22.38%10.90%-3.87%-6.12%-0.24%-2.28%-0.33%0.95%0.41%-2.42%8.59%25.67%
2018创金合信中证1000增强A -1.18%-3.54%5.24%-1.68%-2.66%-9.04%1.62%-5.95%-1.47%-8.57%5.58%-3.87%-23.70%
中证1000 -3.23%-3.35%3.58%-4.14%-3.10%-11.19%-1.18%-8.74%-1.40%-11.76%5.63%-4.69%-36.87%
2017创金合信中证1000增强A -2.50%3.30%-0.46%-3.31%-5.91%4.81%0.72%4.67%2.57%0.48%-5.02%0.03%-1.31%
中证1000 -3.36%3.68%-1.99%-5.96%-8.03%3.51%-0.28%3.16%2.12%-2.69%-6.26%-1.90%-17.35%
2016创金合信中证1000增强A --------------------------
中证1000 -30.42%-2.74%17.59%-1.84%-1.14%6.63%-2.75%3.97%-2.01%2.88%1.17%-5.81%-20.01%
2015创金合信中证1000增强A --------------------------
中证1000 8.61%9.09%22.95%15.94%27.96%-12.63%-18.96%-13.80%-2.80%18.90%8.85%6.13%76.10%
2014创金合信中证1000增强A --------------------------
中证1000 ------------------2.47%4.34%-6.96%-0.51%