首页 - 基金 - 鹏华优质回报两年定开混合(008716) - 资产配置
鹏华优质回报两年定开混合(008716)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 2025-06-30 85.30 - 15.33 478,602,600.18
2 2025-03-31 89.83 - 10.29 465,316,193.78
3 2024-12-31 87.28 - 12.88 416,973,667.74
4 2024-09-30 87.62 - 12.52 397,972,419.32
5 2024-06-30 89.20 - 10.94 348,653,510.93
6 2024-03-31 79.40 - 7.90 414,129,651.85
7 2023-12-31 66.69 - 29.75 524,533,571.16
8 2023-09-30 77.90 - 22.27 529,406,714.82
9 2023-06-30 84.25 - 16.24 556,660,656.58
10 2023-03-31 86.78 0.11 13.04 604,034,088.08
11 2022-12-31 72.21 0.11 3.15 611,741,842.96
12 2022-09-30 66.94 - 32.30 592,619,631.64
13 2022-06-30 67.99 - 30.15 671,822,935.56
14 2022-03-31 62.14 - 38.22 656,876,525.60
15 2021-12-31 75.77 - 24.40 2,495,569,265.02
16 2021-09-30 66.44 - 33.72 2,573,894,537.67
17 2021-06-30 88.51 0.04 11.60 2,965,849,849.55
18 2021-03-31 92.72 0.04 7.40 2,667,665,764.56
19 2020-12-31 89.32 0.04 10.78 2,972,380,772.02
20 2020-09-30 95.19 - 4.96 2,491,080,720.98
21 2020-06-30 96.94 - 3.22 2,236,140,460.90
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