首页 - 基金 - 新华鑫益灵活配置混合C(000584) - 资产配置
新华鑫益灵活配置混合C(000584)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 2024-03-31 87.80 - 12.32 280,346,520.79
2 2023-12-31 85.26 - 15.53 305,175,036.18
3 2023-09-30 88.74 - 17.22 383,210,424.25
4 2023-06-30 84.29 - 17.76 443,580,678.24
5 2023-03-31 84.87 - 19.36 483,613,362.23
6 2022-12-31 92.27 - 10.46 522,229,919.57
7 2022-09-30 82.29 - 20.79 673,934,922.00
8 2022-06-30 86.38 - 16.63 1,039,588,915.41
9 2022-03-31 84.56 - 16.86 733,452,743.36
10 2021-12-31 89.82 - 11.54 842,476,985.59
11 2021-09-30 87.25 - 16.96 421,525,077.03
12 2021-06-30 92.29 - 9.76 264,941,604.66
13 2021-03-31 79.87 0.08 21.47 425,854,954.96
14 2020-12-31 93.40 - 10.10 640,181,232.63
15 2020-09-30 73.85 - 8.03 495,263,441.19
16 2020-06-30 83.51 - 18.07 377,824,631.53
17 2020-03-31 49.00 - 56.12 313,171,584.64
18 2019-12-31 80.66 0.25 20.13 308,905,878.72
19 2019-09-30 53.58 - 43.58 321,575,007.88
20 2019-06-30 44.31 - 57.83 267,497,955.14
21 2019-03-31 67.59 0.26 27.26 513,921,461.78
22 2018-12-31 28.56 - 52.99 386,065,142.98
23 2018-09-30 53.06 - 35.02 298,152,594.59
24 2018-06-30 53.21 - 63.50 317,565,692.20
25 2018-03-31 76.55 - 33.30 346,260,980.42
26 2017-12-31 54.51 - 33.17 257,134,103.60
27 2017-09-30 67.11 - 19.65 218,685,868.62
28 2017-06-30 54.11 0.24 46.09 238,448,621.08
29 2017-03-31 90.62 0.27 10.24 227,191,812.60
30 2016-12-31 61.21 0.29 39.93 241,556,772.95
31 2016-09-30 48.76 0.30 53.95 253,164,195.67
32 2016-06-30 34.22 0.17 71.36 466,397,146.57
33 2016-03-31 53.69 0.25 48.73 510,638,425.80
34 2015-12-31 68.83 - 27.21 634,745,695.75
35 2015-09-30 25.08 - 74.27 640,146,101.09
36 2015-06-30 95.95 - 33.07 577,795,296.82
37 2015-03-31 93.91 - 6.50 125,170,970.69
38 2014-12-31 54.05 - 47.88 55,100,863.94
39 2014-09-30 0.58 - 12.57 207,621,332.11
40 2014-06-30 5.46 - 8.94 401,926,755.93
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