ESG 120策略
(931476.csi)A股通编制方案单张
(
市盈率
11.49
市净率
1.33
股息率
3.36%
)·市值加权
发布时间2020-04-30样本数120调样频率半年类型策略热点ESG收盘点位1,403.57点位涨跌幅-0.89%成交金额3,490.18亿市值42.56万亿A股市值34.10万亿流通市值32.62万亿自由流通市值14.44万亿A股场内基金资产规模1,537.52万前十大权重34.60%发布以来年化涨跌幅2.94%有数据以来全收益年化涨跌幅6.08%陆股通持仓金额占市值比例3.09% (1.35万亿2025-12-31) 融资融券余额占市值比例1.07% (融资余额4,592.38亿融券余额19.09亿2026-01-22)
中证ESG 120策略指数从沪深300指数样本中剔除ESG分数较低的上市公司证券,依据估值、股息、质量与市场因子分数计算综合得分,选取综合得分较高的120只证券作为指数样本,为投资者提供更多样化的投资标的。®基础数据源自中证指数公司指数估值数据计算说明文档指数财务数据计算说明文档
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ESG 120策略(931476) - 历史市盈率(市值加权)及分位点走势图

最后更新于:2026-01-23

市盈率

  • 当前值:11.49
  • 当前分位点82.39%
  • 80%分位点11.34
  • 50%分位点10.59
  • 20%分位点9.75
  • 最大值:12.55
  • 平均值:10.57
  • 最小值:9.09
日期收盘点位市盈率分位点20%分位点50%分位点80%分位点
2026-01-231,403.5711.4982.39%9.7510.5911.34
2026-01-221,416.2411.6085.67%9.7510.5911.34
2026-01-211,413.6311.6286.34%9.7510.5911.34
2026-01-201,411.7011.6987.15%9.7510.5911.33
2026-01-191,414.8311.6687.02%9.7510.5811.30
2026-01-161,415.2011.6887.19%9.7410.5811.30
2026-01-151,421.8111.7888.43%9.7410.5811.27
2026-01-141,417.2611.7988.69%9.7410.5811.27
2026-01-131,422.0411.9090.33%9.7410.5711.27
2026-01-121,428.9111.8689.64%9.7310.5711.27
2026-01-091,425.6211.8489.67%9.7210.5711.26
2026-01-081,422.3711.8189.39%9.7210.5511.24
2026-01-071,436.8511.9090.62%9.7210.5511.23
2026-01-061,440.7611.9992.13%9.7210.5411.23
2026-01-051,421.2711.8690.06%9.7210.5411.20
2025-12-311,394.2111.7689.53%9.7110.5411.19
2025-12-301,400.5811.7689.52%9.7110.5411.17
2025-12-291,396.7711.7389.52%9.7110.5311.16
2025-12-261,403.2311.7189.41%9.7010.5211.16
2025-12-251,398.2511.7089.27%9.7010.5211.15
2025-12-241,396.8911.6989.26%9.7010.5111.15
2025-12-231,393.8111.7189.38%9.7010.5011.15
2025-12-221,388.7911.6589.24%9.7010.4911.14
2025-12-191,374.2011.6088.86%9.6910.4711.14