首页 - 基金 - 新华积极价值灵活配置混合A(001681) - 资产配置
新华积极价值灵活配置混合A(001681)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 94.54 - 6.52 32,389,305.11
2 2024-09-30 94.59 - 5.68 55,876,907.74
3 2024-06-30 94.28 - 7.65 51,808,953.79
4 2024-03-31 93.24 - 26.03 51,195,214.34
5 2023-12-31 50.20 - 86.34 34,254,845.27
6 2023-09-30 89.14 - 23.29 38,262,673.82
7 2023-06-30 93.99 - 7.80 46,935,717.93
8 2023-03-31 87.92 - 9.64 47,649,254.87
9 2022-12-31 93.65 - 9.57 45,548,665.64
10 2022-09-30 75.96 - 16.32 50,922,109.58
11 2022-06-30 94.68 - 9.89 60,609,087.81
12 2022-03-31 85.41 0.43 14.72 65,358,579.59
13 2021-12-31 94.16 - 6.82 89,755,659.13
14 2021-09-30 91.34 - 18.51 99,894,652.35
15 2021-06-30 95.33 - 6.54 134,733,534.16
16 2021-03-31 29.22 44.30 27.74 67,691,351.41
17 2020-12-31 34.26 59.94 5.50 466,967,799.90
18 2020-09-30 92.79 - 8.13 44,205,037.70
19 2020-06-30 93.65 - 16.08 48,164,409.62
20 2020-03-31 82.61 - 11.65 42,478,315.11
21 2019-12-31 92.18 - 10.62 61,014,100.59
22 2019-09-30 94.77 - 5.70 67,195,396.26
23 2019-06-30 94.90 - 5.54 76,310,016.37
24 2019-03-31 94.87 - 5.33 83,989,019.17
25 2018-12-31 94.91 - 5.92 68,471,675.18
26 2018-09-30 94.88 - 5.62 79,994,847.13
27 2018-06-30 94.96 - 5.81 89,425,435.48
28 2018-03-31 94.92 - 5.58 103,818,820.08
29 2017-12-31 94.85 - 5.45 181,875,370.64
30 2017-09-30 92.38 - 8.16 248,653,166.32
31 2017-06-30 94.66 - 6.12 270,993,939.27
32 2017-03-31 93.00 - 7.44 307,770,741.39
33 2016-12-31 93.17 - 5.69 329,804,820.43
34 2016-09-30 87.13 - 13.21 398,478,853.91
35 2016-06-30 52.20 - 5.81 425,057,824.61
36 2016-03-31 75.35 - 5.79 441,763,163.50
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