首页 - 基金 - 华夏鼎祥三个月定开债A(004923) - 资产配置
华夏鼎祥三个月定开债A(004923)资产配置
序号 报告期 股票占净比(%) 债券占净比(%) 现金占净比(%) 净资产(元)
1 2025-03-31 - 103.46 0.44 5,047,391,445.22
2 2024-12-31 - 99.59 0.45 6,221,250,984.07
3 2024-09-30 - 109.68 0.31 6,103,818,219.66
4 2024-06-30 - 105.58 0.27 6,090,242,876.25
5 2024-03-31 - 82.76 16.92 6,014,598,937.95
6 2023-12-31 - 117.87 0.38 1,020,862,151.50
7 2023-09-30 - 106.97 0.33 1,013,156,476.92
8 2023-06-30 - 112.47 0.17 2,064,915,943.46
9 2023-03-31 - 111.35 0.68 2,048,340,533.02
10 2022-12-31 - 136.42 0.18 2,023,750,695.85
11 2022-09-30 - 113.06 0.16 2,055,962,284.06
12 2022-06-30 - 116.20 0.19 2,036,775,807.49
13 2022-03-31 - 106.65 0.18 2,015,303,269.27
14 2021-12-31 - 108.53 0.16 2,049,473,420.01
15 2021-09-30 - 113.96 0.14 2,030,061,640.14
16 2021-06-30 - 112.96 0.18 2,010,208,262.49
17 2021-03-31 - 122.46 0.21 2,031,352,185.49
18 2020-12-31 - 130.48 0.17 2,012,242,122.48
19 2020-09-30 - 124.32 0.20 1,009,820,112.68
20 2020-06-30 - 96.48 1.83 209,438,988.52
21 2020-03-31 - 101.14 33.99 218,611,925.24
22 2019-12-31 - 103.85 7.49 212,013,023.41
23 2019-09-30 - 52.54 34.14 210,250,594.94
24 2019-06-30 - 101.77 6.18 4,554,277,300.82
25 2019-03-31 - 120.31 4.48 4,572,657,220.60
26 2018-12-31 - 119.57 9.97 4,548,967,396.85
27 2018-09-30 - 127.46 2.36 4,677,017,900.61
28 2018-06-30 - 106.93 2.65 4,592,558,492.20
29 2018-03-31 - 120.67 2.66 4,559,183,779.15
30 2017-12-31 - 85.75 3.31 1,512,026,939.60
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