首页 - 基金 - 嘉实中证医药卫生ETF(512610) - 资产配置
嘉实中证医药卫生ETF(512610)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 2022-09-30 97.64 - 9.96 11,182,049.13
2 2022-06-30 98.37 - 2.66 12,794,843.06
3 2022-03-31 98.78 - 1.78 13,655,121.50
4 2021-12-31 98.69 - 1.75 14,778,651.81
5 2021-09-30 98.84 - 2.46 13,552,162.60
6 2021-06-30 98.68 - 1.53 16,109,690.47
7 2021-03-31 99.01 0.05 1.46 16,224,614.68
8 2020-12-31 99.01 - 1.37 16,835,832.86
9 2020-09-30 98.71 - 1.64 17,010,673.60
10 2020-06-30 98.56 - 1.71 15,604,680.25
11 2020-03-31 95.74 - 4.84 14,440,691.19
12 2019-12-31 99.90 - 0.58 14,369,248.96
13 2019-09-30 99.37 - 1.26 15,876,825.14
14 2019-06-30 99.28 - 1.22 14,382,397.53
15 2019-03-31 99.27 - 1.34 15,782,484.83
16 2018-12-31 99.94 - 1.66 11,715,063.65
17 2018-09-30 99.55 - 1.67 14,195,301.56
18 2018-06-30 99.30 - 1.47 16,297,162.18
19 2018-03-31 99.81 0.17 0.55 23,134,515.79
20 2017-12-31 99.55 0.02 1.23 21,514,926.33
21 2017-09-30 98.81 - 2.09 20,877,955.89
22 2017-06-30 99.64 - 1.01 25,020,451.36
23 2017-03-31 99.54 - 1.07 25,625,386.37
24 2016-12-31 99.17 - 1.36 26,054,040.06
25 2016-09-30 99.57 - 1.13 28,238,659.53
26 2016-06-30 99.21 - 1.42 26,931,767.29
27 2016-03-31 98.91 - 3.03 30,119,855.83
28 2015-12-31 98.84 - 1.48 56,426,050.67
29 2015-09-30 98.30 - 2.03 82,154,701.50
30 2015-06-30 98.34 - 2.96 132,197,137.35
31 2015-03-31 99.15 - 1.58 357,704,793.76
32 2014-12-31 99.17 - 1.08 348,257,378.97
33 2014-09-30 97.58 - 2.59 250,851,263.35
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