首页 - 基金 - 海富通瑞祥一年定开债券(519138) - 资产配置
海富通瑞祥一年定开债券(519138)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 2024-12-31 - 101.84 1.76 1,025,343,882.55
2 2024-09-30 - 154.22 0.91 1,027,651,690.22
3 2024-06-30 - 152.70 0.33 1,029,572,161.63
4 2024-03-31 - 123.83 0.72 1,050,945,977.76
5 2023-12-31 - 102.06 0.62 1,034,242,719.22
6 2023-09-30 - 131.76 0.47 1,283,650,061.24
7 2023-06-30 - 141.79 1.10 1,274,385,266.51
8 2023-03-31 - 135.74 1.18 1,260,191,522.75
9 2022-12-31 - 104.61 2.60 1,241,186,847.69
10 2022-09-30 - 127.21 0.38 987,128,125.14
11 2022-06-30 - 140.48 0.73 974,326,235.55
12 2022-03-31 - 132.60 0.63 961,637,738.29
13 2021-12-31 - 131.84 1.02 954,165,463.92
14 2021-09-30 - 140.58 1.26 534,004,590.15
15 2021-06-30 - 134.06 1.54 526,945,836.44
16 2021-03-31 - 154.03 1.82 518,702,615.57
17 2020-12-31 - 159.94 0.74 511,892,083.36
18 2020-09-30 - 102.95 0.75 246,620,167.91
19 2020-06-30 - 149.71 2.03 246,666,107.23
20 2020-03-31 - 126.58 0.86 244,194,854.19
21 2019-12-31 - 141.47 0.55 238,078,511.91
22 2019-09-30 - 85.43 1.16 235,605,347.73
23 2019-06-30 - 160.22 0.53 223,669,589.73
24 2019-03-31 - 150.59 1.64 223,052,446.75
25 2018-12-31 - 90.48 1.41 219,661,897.42
26 2018-09-30 - 118.13 0.64 213,410,101.89
27 2018-06-30 - 114.90 0.98 326,915,453.80
28 2018-03-31 - 131.18 0.90 323,793,396.69
29 2017-12-31 - 122.18 2.83 317,525,899.06
30 2017-09-30 - 122.50 1.72 316,311,481.12
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