融通增祥三个月定开债(002719)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 |
2022-06-30 |
3.39 |
116.02 |
0.77 |
350,480,475.36 |
2 |
2022-03-31 |
- |
85.22 |
1.49 |
344,771,330.57 |
3 |
2021-12-31 |
- |
92.43 |
2.42 |
351,320,461.90 |
4 |
2021-09-30 |
- |
88.85 |
1.16 |
334,865,539.35 |
5 |
2021-06-30 |
4.82 |
91.06 |
2.10 |
282,045,779.71 |
6 |
2021-03-31 |
4.90 |
88.93 |
1.30 |
277,545,728.84 |
7 |
2020-12-31 |
4.97 |
101.96 |
0.09 |
273,662,347.17 |
8 |
2020-09-30 |
4.98 |
107.66 |
0.30 |
273,025,602.61 |
9 |
2020-06-30 |
5.01 |
116.08 |
0.84 |
271,682,784.68 |
10 |
2020-03-31 |
5.00 |
100.20 |
3.45 |
273,960,296.16 |
11 |
2019-12-31 |
- |
106.87 |
1.77 |
264,230,863.51 |
12 |
2019-09-30 |
- |
101.91 |
0.35 |
275,105,256.30 |
13 |
2019-06-30 |
- |
116.38 |
0.93 |
275,149,023.72 |
14 |
2019-03-31 |
- |
103.23 |
0.59 |
246,338,753.91 |
15 |
2018-12-31 |
- |
104.52 |
0.39 |
254,342,080.08 |
16 |
2018-09-30 |
- |
110.61 |
0.93 |
254,045,405.64 |
17 |
2018-06-30 |
- |
120.26 |
2.17 |
246,855,091.12 |
18 |
2018-03-31 |
- |
122.72 |
0.85 |
247,703,062.19 |
19 |
2017-12-31 |
- |
115.88 |
2.20 |
244,548,293.90 |
20 |
2017-09-30 |
- |
117.79 |
1.71 |
244,504,684.00 |
21 |
2017-06-30 |
- |
106.80 |
1.84 |
241,401,190.69 |
22 |
2017-03-31 |
- |
96.37 |
1.80 |
237,915,959.86 |
23 |
2016-12-31 |
- |
101.98 |
1.32 |
235,403,570.97 |
24 |
2016-09-30 |
- |
90.57 |
7.24 |
236,240,741.45 |
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