首页 - 基金 - 创金合信汇泽三个月定开债券A(006032) - 资产配置
创金合信汇泽三个月定开债券A(006032)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 - 98.71 1.33 1,483,691,952.57
2 2024-12-31 - 98.79 1.26 1,593,922,969.59
3 2024-09-30 - 94.60 1.46 1,252,440,594.94
4 2024-06-30 - 107.38 0.37 1,048,589,119.52
5 2024-03-31 - 117.54 1.84 1,034,600,297.53
6 2023-12-31 - 145.73 0.70 1,017,295,477.07
7 2023-09-30 - 83.87 1.36 222,127,030.62
8 2023-06-30 - 98.03 2.07 220,239,524.60
9 2023-03-31 - 102.33 1.27 340,081,528.47
10 2022-12-31 - 109.79 1.85 339,109,065.49
11 2022-09-30 - 115.76 1.55 333,855,540.17
12 2022-06-30 - 110.32 1.19 329,404,098.21
13 2022-03-31 - 106.54 3.16 324,886,587.67
14 2021-12-31 - 103.60 1.19 331,535,028.19
15 2021-09-30 - 100.75 1.12 339,568,017.67
16 2021-06-30 - 93.34 7.23 334,017,834.57
17 2021-03-31 - 85.43 12.44 330,275,947.71
18 2020-12-31 - 95.23 2.96 326,869,067.09
19 2020-09-30 - 103.09 1.46 406,628,794.64
20 2020-06-30 - 111.59 1.07 403,555,631.04
21 2020-03-31 - 89.14 4.17 401,997,625.24
22 2019-12-31 - - 108.03 1,570,259.50
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