首页 - 基金 - 新华万银策略灵活配置混合(000972) - 资产配置
新华万银策略灵活配置混合(000972)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 2023-06-30 0.05 - 111.26 6,637,132.14
2 2023-03-31 87.27 - 13.57 7,203,988.03
3 2022-12-31 92.15 - 8.55 18,383,986.49
4 2022-09-30 32.68 - 65.12 19,986,950.68
5 2022-06-30 93.28 - 9.22 8,859,726.79
6 2022-03-31 93.75 - 9.43 8,449,802.79
7 2021-12-31 93.70 - 7.35 10,645,273.02
8 2021-09-30 86.23 - 14.73 11,165,457.04
9 2021-06-30 - - 101.33 11,871,469.64
10 2021-03-31 - - 107.52 13,842,360.47
11 2020-12-31 94.88 - 10.90 18,535,716.11
12 2020-09-30 93.16 - 11.23 19,980,184.63
13 2020-06-30 17.35 - 83.85 96,003,274.15
14 2020-03-31 31.62 - 68.63 95,015,306.07
15 2019-12-31 93.27 - 11.90 157,904,218.29
16 2019-09-30 67.36 - 33.58 140,990,976.67
17 2019-06-30 45.13 - 56.29 138,290,544.11
18 2019-03-31 80.64 - 27.12 142,977,971.40
19 2018-12-31 30.74 - 69.40 127,029,984.13
20 2018-09-30 57.27 - 42.78 134,104,879.35
21 2018-06-30 52.11 - 47.04 238,793,792.81
22 2018-03-31 60.74 - 39.38 275,705,287.85
23 2017-12-31 93.98 - 7.83 351,189,430.53
24 2017-09-30 82.60 - 17.62 382,780,443.70
25 2017-06-30 41.93 - 60.36 373,348,897.99
26 2017-03-31 33.99 - 53.19 381,765,378.25
27 2016-12-31 31.75 - 69.02 438,006,714.45
28 2016-09-30 30.40 - 71.83 265,903,570.10
29 2016-06-30 68.47 - 31.92 113,408,900.17
30 2016-03-31 70.58 - 29.65 119,504,179.90
31 2015-12-31 71.39 - 29.11 148,220,804.82
32 2015-09-30 63.98 - 36.49 145,500,000.91
33 2015-06-30 88.38 - 26.48 290,568,327.56
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