— · 2026-10-10 · 目录取得日不等于上市日期或交易日
https://fund.eastmoney.com/js/fundcode_search.js ↗China continental / 588930 / AI broadly
银华上证科创板人工智能交易型开放式指数证券投资基金
Invests in companies connected with AI broadly; the exact scope follows the disclosed benchmark or strategy. [D1]
Benchmark / strategy: 上证科创板人工智能指数
Toda segunda-feira às 10:00 (Pequim), são atualizados dados e listas dos EUA, Hong Kong, China continental, Europa, Japão, Coreia, Canadá, Austrália, Taiwan, Índia e Singapura. São indicados cobertura e limites das fontes; cada campo mantém sua data de relatório.
Last completed refresh: 2026-10-11 00:52 UTC+8 · Last complete list scan: Not yet recorded
Last fully successful refresh: Not yet recorded · Next scheduled refresh: 2026-10-12 10:00 UTC+8 · Initial verified snapshot: 2026-10-10
Some fields remain on their last valid dated observations
2026-10-09
FMP expenseRatio原始字段,净 / 总费用口径待发行人核对
—
未取得
Fund information
Assets & calculation inputs
| Field | Value | Report date / period | Basis / evidence |
|---|---|---|---|
| Fund assets · 100m | 8.92 CNY | 2026-10-09 | 场内份额 × 披露净值估算,分别保留输入日期;非正式当日净资产 [Q1-20261010164202136] |
| Formally reported assets | 9.96 CNY | 2026-06-30 | [I1-20261010164202136] |
| Unit-count input | 629,329,000 | 2026-10-09 | Units × disclosed NAV estimate. Input dates remain separate; no synchronized premium is inferred from different dates. [Q1-20261010164202136] |
| NAV input | 1.4169 CNY | 2026-10-09 | [N1-20261010164202136] |
629,329,000 × 1.4169 ÷ 100,000,000 = 8.92 CNY ×100mUnits × disclosed NAV estimate. Input dates remain separate; no synchronized premium is inferred from different dates.
Posições
Holdings rows are unavailable. Zero acquired rows do not mean the fund owns nothing.
Issuer portfolio valuation
Verified portfolio valuation is unavailable. No PE or percentile is fabricated.
Dated historical returns
Dated returns with a clear basis are unavailable. No history is fabricated.
Investment perspective
Facts, calculations and analysis are distinguished. Theme labels do not imply pure AI revenue; industry growth does not determine fund returns.
Fontes e dados ausentes
FMP MCP first. Currency/date gaps and restricted fields use explicitly recorded supplementary sources. Retained values keep their original report dates.
Limits & retained observations
- 新纳入ETF,数据逐字段取得,缺失不补造
partial · 2026-10-11 00:42 UTC+8
[
{
"field": "fmp_information",
"code": "FMP_INFORMATION_NOT_FOUND",
"retained": true
},
{
"field": "holdings",
"code": "HOLDINGS_DATE_MISSING_OR_FUTURE",
"retained": true
}
]— · 2026-10-10 ·
https://fundf10.eastmoney.com/jbgk_588930.html ↗SHA256 50c56866056ea29e775035697c8235d599c8d5ee090fcfdacce2f97e8ffcb954
2026-10-09 · 2026-10-10 ·
https://qt.gtimg.cn/q=sh588930 ↗SHA256 533cab5acb1c2988efdaf8c5c53e058da7b7e99c4e1cc642b63a7aca2017a0bb
— · 2026-10-10 ·
https://fundf10.eastmoney.com/jbgk_588930.html ↗SHA256 50c56866056ea29e775035697c8235d599c8d5ee090fcfdacce2f97e8ffcb954
2026-10-09 · 2026-10-10 ·
https://api.fund.eastmoney.com/f10/lsjz?fundCode=588930&pageIndex=1&pageSize=1 ↗SHA256 2be62ca705d9c0256576206b7913a422d6d6b9daddd07c79226910218ac16075
2026-10-09 · 2026-10-10 ·
https://qt.gtimg.cn/q=sh588930 ↗SHA256 533cab5acb1c2988efdaf8c5c53e058da7b7e99c4e1cc642b63a7aca2017a0bb
— · 2026-10-10 ·
https://fundf10.eastmoney.com/jbgk_588930.html ↗SHA256 50c56866056ea29e775035697c8235d599c8d5ee090fcfdacce2f97e8ffcb954
2026-10-09 · 2026-10-10 ·
https://api.fund.eastmoney.com/f10/lsjz?fundCode=588930&pageIndex=1&pageSize=1 ↗SHA256 2be62ca705d9c0256576206b7913a422d6d6b9daddd07c79226910218ac16075
2026-10-09 · 2026-10-10 ·
https://qt.gtimg.cn/q=sh588930 ↗SHA256 533cab5acb1c2988efdaf8c5c53e058da7b7e99c4e1cc642b63a7aca2017a0bb
Expand field evidence
| Field | Value | Report date / period | Basis / evidence |
|---|---|---|---|
| summary | 投资AI 综合相关企业,具体投资范围以指数 / 策略说明为准。 | — | 目录主题及FMP策略资料概括,非每期持仓承诺 [D1] |
| fee | 0.6 | — | 管理费 + 托管费,不含其他费用 [I1-20261010164202136] |
| reported_aum | 996000000.0000001 | 2026-06-30 | 正式披露资产,CNY [I1-20261010164202136] |
| units | 629329000 | 2026-10-09 | 场内份额,可能异步 [Q1-20261010164202136] |
| aum | 891696260.1 | 2026-10-09 | 场内份额 × 披露净值估算,分别保留输入日期;非正式当日净资产 [Q1-20261010164202136] |
| nav | 1.4169 | 2026-10-09 | 披露单位净值,CNY [N1-20261010164202136] |