首页 - 基金 - 国泰聚享纯债债券A(006762) - 资产配置
国泰聚享纯债债券A(006762)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 2025-06-30 - 117.06 0.02 1,520,905,158.70
2 2025-03-31 - 122.53 0.06 1,494,990,346.09
3 2024-12-31 - 100.73 0.05 1,499,395,236.63
4 2024-09-30 - 103.02 0.44 908,556,117.29
5 2024-06-30 - 103.65 0.05 905,716,582.17
6 2024-03-31 - 95.21 0.10 914,451,757.93
7 2023-12-31 - 119.28 0.26 904,964,062.26
8 2023-09-30 - 124.75 0.08 914,561,208.49
9 2023-06-30 - 129.02 0.14 907,456,565.55
10 2023-03-31 - 138.19 0.04 909,010,858.47
11 2022-12-31 - 135.35 0.11 895,799,086.85
12 2022-09-30 - 137.88 0.29 950,390,049.10
13 2022-06-30 - 102.97 0.06 941,449,581.01
14 2022-03-31 - 122.70 0.06 925,673,225.48
15 2021-12-31 - 136.53 0.03 924,541,071.97
16 2021-09-30 - 121.31 0.37 911,281,419.25
17 2021-06-30 - 110.26 0.09 901,504,353.20
18 2021-03-31 - 126.65 0.43 928,962,266.38
19 2020-12-31 - 118.63 0.22 922,115,679.70
20 2020-09-30 - 132.92 0.14 912,228,002.88
21 2020-06-30 - 104.99 0.19 913,982,110.72
22 2020-03-31 - 123.71 0.13 910,615,788.25
23 2019-12-31 - 119.89 0.14 903,552,980.36
24 2019-09-30 - 106.99 0.24 901,542,584.80
25 2019-06-30 - 98.78 0.04 1,819,392,421.12
26 2019-03-31 - - 101.69 7,067,957.51
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