首页 - 基金 - 创金合信沪港深精选混合(001662) - 资产配置
创金合信沪港深精选混合(001662)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 93.89 4.51 2.28 51,650,575.75
2 2024-12-31 87.96 - 13.93 53,407,325.72
3 2024-09-30 87.96 - 14.51 51,789,426.04
4 2024-06-30 91.95 - 8.79 47,540,140.46
5 2024-03-31 90.88 - 13.23 51,984,665.13
6 2023-12-31 90.89 0.11 10.26 56,504,517.41
7 2023-09-30 92.54 - 6.81 59,579,856.25
8 2023-06-30 89.21 - 11.22 70,696,342.89
9 2023-03-31 92.36 - 9.48 73,124,116.40
10 2022-12-31 93.27 - 7.67 67,150,241.82
11 2022-09-30 92.83 2.54 5.74 72,264,666.29
12 2022-06-30 93.15 1.55 5.29 88,577,355.20
13 2022-03-31 93.48 1.26 6.47 80,953,104.08
14 2021-12-31 94.72 2.03 3.97 103,251,567.81
15 2021-09-30 91.44 1.41 7.41 109,743,173.19
16 2021-06-30 90.20 3.52 3.05 123,480,119.40
17 2021-03-31 90.09 2.23 11.33 112,400,496.21
18 2020-12-31 92.18 2.69 8.94 119,524,854.00
19 2020-09-30 89.12 2.85 7.30 112,747,441.71
20 2020-06-30 94.18 2.70 4.64 129,935,380.53
21 2020-03-31 84.33 4.97 10.24 135,014,516.93
22 2019-12-31 93.00 3.02 4.71 254,240,331.44
23 2019-09-30 87.31 - 12.30 275,278,349.28
24 2019-06-30 81.60 - 18.55 310,054,468.59
25 2019-03-31 81.26 - 13.79 385,190,683.07
26 2018-12-31 57.33 - 14.37 350,692,977.78
27 2018-09-30 57.91 - 11.54 390,855,947.67
28 2018-06-30 52.72 - 12.14 422,599,037.69
29 2018-03-31 60.80 - 9.47 608,583,605.47
30 2017-12-31 65.14 - 11.31 754,701,843.59
31 2017-09-30 63.80 - 8.09 1,025,084,780.93
32 2017-06-30 66.20 - 10.32 1,134,822,839.54
33 2017-03-31 69.87 - 9.31 1,024,338,821.77
34 2016-12-31 75.48 - 21.93 249,425,352.25
35 2016-09-30 83.64 - 18.86 210,222,331.80
36 2016-06-30 77.30 - 8.30 200,690,157.50
37 2016-03-31 90.78 - 10.93 201,670,309.31
38 2015-12-31 67.26 - 15.28 246,970,419.16
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