首页 - 基金 - 景顺长城安享回报混合C(001423) - 资产配置
景顺长城安享回报混合C(001423)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 2023-12-31 9.92 99.09 0.18 499,954,026.53
2 2023-09-30 21.12 87.85 0.30 577,431,126.88
3 2023-06-30 21.91 86.63 0.63 482,554,867.27
4 2023-03-31 20.45 86.48 0.51 505,150,360.73
5 2022-12-31 21.66 99.98 0.30 570,954,706.99
6 2022-09-30 19.13 101.59 0.34 736,148,313.55
7 2022-06-30 20.27 96.29 1.07 842,475,565.77
8 2022-03-31 15.94 94.03 0.32 957,559,307.52
9 2021-12-31 15.69 96.47 1.19 1,064,053,702.44
10 2021-09-30 15.45 100.18 0.40 946,408,827.58
11 2021-06-30 13.93 88.75 0.55 1,005,782,104.37
12 2021-03-31 16.36 95.81 0.61 773,992,895.23
13 2020-12-31 15.86 92.10 0.24 807,455,685.56
14 2020-09-30 18.01 81.10 0.81 700,295,940.81
15 2020-06-30 16.46 98.22 0.95 450,508,537.44
16 2020-03-31 17.62 109.59 0.78 414,561,948.88
17 2019-12-31 19.17 101.79 0.49 402,436,085.14
18 2019-09-30 19.10 99.18 0.88 390,390,632.47
19 2019-06-30 19.60 77.33 0.55 367,686,855.48
20 2019-03-31 3.61 60.59 0.57 558,437,641.65
21 2018-12-31 1.22 131.98 0.21 544,474,805.14
22 2018-09-30 3.29 108.97 0.32 724,233,036.19
23 2018-06-30 2.60 91.89 0.19 753,444,776.11
24 2018-03-31 3.98 86.93 0.34 748,778,261.66
25 2017-12-31 8.12 74.64 0.24 759,926,640.01
26 2017-09-30 7.98 91.05 0.23 756,295,674.40
27 2017-06-30 8.14 81.60 0.21 750,874,804.93
28 2017-03-31 9.48 79.67 3.93 552,274,281.03
29 2016-12-31 5.68 73.87 0.53 552,513,949.21
30 2016-09-30 5.51 100.05 0.26 557,208,367.85
31 2016-06-30 6.06 93.86 1.09 550,154,938.34
32 2016-03-31 5.36 83.75 0.32 613,388,288.66
33 2015-12-31 3.02 28.91 30.61 2,580,994,888.59
34 2015-09-30 - 94.95 4.61 138,898,187.75
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