首页 - 基金 - 景顺长城泰安回报混合A(003603) - 资产配置
景顺长城泰安回报混合A(003603)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 2023-09-30 35.29 53.10 2.48 10,609,649.83
2 2023-06-30 23.23 66.39 0.79 63,029,374.15
3 2023-03-31 26.28 56.22 0.50 64,910,818.71
4 2022-12-31 24.01 79.44 0.21 180,617,637.12
5 2022-09-30 22.70 95.48 0.17 316,008,112.60
6 2022-06-30 20.17 92.83 0.28 426,998,597.17
7 2022-03-31 10.86 84.78 0.73 413,571,523.87
8 2021-12-31 18.13 89.61 1.40 740,130,091.14
9 2021-09-30 19.42 93.13 0.48 664,261,274.90
10 2021-06-30 18.16 91.67 0.77 683,077,452.11
11 2021-03-31 19.65 74.88 0.80 643,697,370.10
12 2020-12-31 21.32 91.93 0.37 631,049,640.59
13 2020-09-30 20.37 72.55 0.89 633,670,961.06
14 2020-06-30 26.64 42.56 0.65 473,553,279.93
15 2020-03-31 16.55 106.06 1.06 133,647,430.90
16 2019-12-31 1.74 116.13 0.84 133,528,333.81
17 2019-09-30 18.95 105.40 1.55 131,782,387.88
18 2019-06-30 19.01 108.64 1.09 129,868,649.20
19 2019-03-31 8.59 118.31 1.36 129,544,129.13
20 2018-12-31 - 96.55 0.34 308,777,449.49
21 2018-09-30 - 110.16 0.18 417,317,555.67
22 2018-06-30 - 107.31 0.31 410,178,747.86
23 2018-03-31 7.06 105.84 0.33 525,524,514.59
24 2017-12-31 10.20 106.17 0.26 518,523,544.38
25 2017-09-30 11.82 92.84 0.32 512,694,870.69
26 2017-06-30 11.84 104.20 0.28 523,183,285.25
27 2017-03-31 14.30 78.72 6.83 510,624,448.03
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