首页 - 基金 - 睿远成长价值混合C(007120) - 资产配置
睿远成长价值混合C(007120)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 93.62 5.58 1.24 18,430,444,888.21
2 2024-12-31 88.71 5.77 0.81 18,734,787,343.99
3 2024-09-30 85.85 4.92 0.43 20,210,650,547.58
4 2024-06-30 88.25 5.21 0.62 18,685,541,686.54
5 2024-03-31 90.52 5.42 0.26 18,812,787,059.09
6 2023-12-31 88.74 6.22 2.64 20,796,039,141.26
7 2023-09-30 91.41 5.51 0.17 23,377,005,481.32
8 2023-06-30 92.30 5.20 0.42 25,428,802,594.64
9 2023-03-31 91.35 5.27 0.07 27,413,724,138.83
10 2022-12-31 93.87 5.07 0.04 27,382,054,366.73
11 2022-09-30 91.61 5.79 0.10 27,194,530,173.66
12 2022-06-30 91.89 4.74 0.43 32,488,294,301.31
13 2022-03-31 92.63 6.16 0.21 28,089,705,890.22
14 2021-12-31 93.78 4.74 0.36 36,569,834,433.90
15 2021-09-30 93.34 5.25 0.14 34,137,361,379.00
16 2021-06-30 91.08 5.06 0.91 36,962,727,240.02
17 2021-03-31 90.64 5.98 0.48 31,370,660,328.71
18 2020-12-31 90.87 5.03 1.82 30,438,765,862.56
19 2020-09-30 92.79 4.95 0.15 21,643,874,299.06
20 2020-06-30 91.81 4.61 0.47 17,607,050,462.09
21 2020-03-31 90.31 5.80 0.36 11,795,436,935.23
22 2019-12-31 91.46 4.97 0.24 11,935,212,382.69
23 2019-09-30 89.64 5.17 5.48 10,177,867,056.93
24 2019-06-30 80.78 5.39 2.88 5,885,214,422.96
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