首页 - 基金 - 鑫元双债增强债券A(002632) - 资产配置
鑫元双债增强债券A(002632)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 - 132.21 0.12 1,047,515,278.03
2 2024-09-30 - 136.24 0.42 1,030,588,051.63
3 2024-06-30 - 132.16 0.19 1,028,824,909.76
4 2024-03-31 - 129.22 0.13 1,014,840,669.69
5 2023-12-31 - 130.69 0.09 1,006,948,055.11
6 2023-09-30 - 127.59 0.09 1,003,485,612.20
7 2023-06-30 - 129.49 0.22 1,021,807,384.40
8 2023-03-31 - 122.47 0.07 1,011,470,027.37
9 2022-12-31 - 117.54 0.06 1,004,419,236.93
10 2022-09-30 - 101.83 0.04 1,034,197,790.85
11 2022-06-30 - 101.67 0.05 1,025,089,771.36
12 2022-03-31 - 100.67 0.07 1,016,364,451.69
13 2021-12-31 - 129.80 0.05 1,010,788,259.28
14 2021-09-30 - 123.41 0.05 1,050,079,850.18
15 2021-06-30 - 119.76 0.07 1,039,293,351.62
16 2021-03-31 - 116.07 0.13 1,028,684,214.10
17 2020-12-31 - 121.84 0.08 1,019,557,202.06
18 2020-09-30 - 110.97 0.05 1,030,703,386.40
19 2020-06-30 - 116.72 0.04 1,037,083,666.05
20 2020-03-31 - 126.35 0.05 1,035,303,244.24
21 2019-12-31 - 116.60 0.09 1,016,092,601.03
22 2019-09-30 - 123.46 0.08 1,041,279,367.59
23 2019-06-30 - 109.95 0.09 1,035,619,532.14
24 2019-03-31 - 109.00 0.04 1,030,499,726.53
25 2018-12-31 - 119.49 0.16 1,019,064,479.05
26 2018-09-30 - 96.63 0.12 1,009,856,162.87
27 2018-06-30 - 110.56 0.12 1,007,093,073.16
28 2018-03-31 - 119.64 0.21 1,025,185,091.01
29 2017-12-31 - 129.69 0.43 1,007,917,273.36
30 2017-09-30 - 122.86 0.19 1,015,537,581.43
31 2017-06-30 - 113.63 0.10 1,006,646,790.36
32 2017-03-31 - 87.76 1.13 998,996,120.18
33 2016-12-31 - 132.26 0.20 502,685,130.58
34 2016-09-30 - 99.68 0.29 509,331,697.50
35 2016-06-30 - 89.20 8.95 503,130,425.99
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