首页 - 基金 - 申万菱信安鑫回报混合C(001727) - 资产配置
申万菱信安鑫回报混合C(001727)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 2023-06-30 11.73 67.69 1.61 18,226,850.91
2 2023-03-31 12.45 49.77 2.08 75,487,659.88
3 2022-12-31 10.13 72.47 1.78 182,082,598.22
4 2022-09-30 19.46 106.56 0.61 275,277,934.24
5 2022-06-30 29.06 92.56 0.38 382,216,141.61
6 2022-03-31 21.35 71.80 1.15 472,269,683.54
7 2021-12-31 22.75 79.63 1.42 691,126,680.37
8 2021-09-30 20.68 107.39 1.75 677,165,452.13
9 2021-06-30 21.51 93.34 0.64 803,581,266.29
10 2021-03-31 15.75 80.98 1.25 789,530,751.10
11 2020-12-31 29.05 96.49 1.37 714,304,299.36
12 2020-09-30 19.88 93.55 0.84 698,264,134.46
13 2020-06-30 26.15 66.75 0.65 614,821,209.06
14 2020-03-31 22.77 80.93 1.18 369,921,249.82
15 2019-12-31 26.65 95.62 2.19 316,330,844.72
16 2019-09-30 19.91 94.91 1.70 360,147,106.75
17 2019-06-30 21.24 55.49 18.59 370,595,288.03
18 2019-03-31 4.16 91.00 4.16 82,176,325.67
19 2018-12-31 2.54 118.43 2.46 81,090,540.66
20 2018-09-30 16.08 87.79 3.32 82,487,212.97
21 2018-06-30 14.32 101.41 6.89 82,144,404.08
22 2018-03-31 16.58 79.06 6.61 114,249,894.90
23 2017-12-31 15.82 74.41 5.41 147,954,305.13
24 2017-09-30 24.48 65.84 1.87 281,683,765.85
25 2017-06-30 20.55 48.24 2.19 355,627,945.03
26 2017-03-31 11.65 71.93 1.32 638,444,805.41
27 2016-12-31 8.44 95.31 2.11 778,562,908.24
28 2016-09-30 4.78 105.11 1.12 948,606,273.30
29 2016-06-30 4.50 85.61 1.00 612,249,457.49
30 2016-03-31 2.09 90.58 1.21 1,807,690,667.84
31 2015-12-31 2.27 68.24 10.47 2,970,825,484.92
32 2015-09-30 1.96 127.48 21.92 1,962,159,190.92
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