首页 - 基金 - 新华稳健回报灵活配置混合发起(001004) - 资产配置
新华稳健回报灵活配置混合发起(001004)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 2024-12-31 73.49 - 27.50 59,408,206.79
2 2024-09-30 92.31 - 14.28 60,034,593.23
3 2024-06-30 55.14 - 46.06 49,048,049.79
4 2024-03-31 90.85 - 10.15 54,949,540.16
5 2023-12-31 87.10 - 14.76 54,909,825.84
6 2023-09-30 92.53 - 8.71 63,976,525.11
7 2023-06-30 88.62 - 11.66 66,921,875.19
8 2023-03-31 93.82 - 6.95 75,498,412.62
9 2022-12-31 93.81 - 7.71 69,161,132.94
10 2022-09-30 94.10 - 8.13 71,007,140.04
11 2022-06-30 93.28 - 7.30 83,671,686.98
12 2022-03-31 93.15 - 9.15 77,345,462.55
13 2021-12-31 91.00 - 9.14 97,203,015.31
14 2021-09-30 94.46 - 8.49 106,756,434.89
15 2021-06-30 90.04 - 13.36 129,112,733.52
16 2021-03-31 83.15 - 17.37 168,242,177.27
17 2020-12-31 91.03 - 10.83 168,640,596.28
18 2020-09-30 89.87 - 10.82 249,430,569.04
19 2020-06-30 93.09 - 6.83 209,524,279.29
20 2020-03-31 90.04 - 10.92 274,394,932.90
21 2019-12-31 92.48 - 7.48 286,414,930.16
22 2019-09-30 90.00 - 9.78 344,315,455.79
23 2019-06-30 83.05 - 20.12 325,528,587.03
24 2019-03-31 87.92 - 12.72 381,845,996.09
25 2018-12-31 48.97 - 15.25 317,208,346.49
26 2018-09-30 51.14 16.76 17.64 299,584,513.31
27 2018-06-30 57.22 18.82 24.52 319,038,762.75
28 2018-03-31 77.34 - 23.84 356,060,567.98
29 2017-12-31 83.15 - 5.50 355,129,351.76
30 2017-09-30 83.67 - 5.23 391,145,845.08
31 2017-06-30 85.11 - 15.26 383,645,272.40
32 2017-03-31 70.30 - 7.17 437,778,462.31
33 2016-12-31 71.46 - 10.91 429,885,042.20
34 2016-09-30 81.67 - 19.09 433,423,862.42
35 2016-06-30 71.97 - 12.13 415,838,890.78
36 2016-03-31 41.96 - 18.88 477,006,038.92
37 2015-12-31 88.09 - 12.29 613,532,104.11
38 2015-09-30 23.26 - 17.00 681,710,384.71
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