首页 - 基金 - 光大吉鑫混合A(003117) - 资产配置
光大吉鑫混合A(003117)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 2023-09-30 - 75.84 25.94 10,603,895.44
2 2023-06-30 15.47 66.70 18.52 29,079,048.43
3 2023-03-31 21.44 64.73 14.95 37,627,758.15
4 2022-12-31 19.38 86.91 2.62 110,720,488.76
5 2022-09-30 19.97 98.36 5.58 307,426,378.68
6 2022-06-30 17.77 94.46 7.07 771,343,381.51
7 2022-03-31 13.76 94.66 1.90 932,427,732.41
8 2021-12-31 13.94 109.19 2.27 1,054,921,201.80
9 2021-09-30 14.50 90.66 1.68 910,668,176.90
10 2021-06-30 19.80 75.67 3.98 640,685,100.48
11 2021-03-31 20.39 86.83 2.85 616,279,244.33
12 2020-12-31 21.52 90.23 3.92 640,875,999.39
13 2020-09-30 21.63 80.34 1.51 598,599,068.60
14 2020-06-30 26.81 70.51 2.80 480,817,416.52
15 2020-03-31 22.83 82.19 5.00 272,010,107.24
16 2019-12-31 31.22 67.49 4.10 231,961,335.01
17 2019-09-30 24.17 68.40 7.64 303,987,545.07
18 2019-06-30 28.63 66.34 7.62 258,609,907.65
19 2019-03-31 13.08 76.81 9.97 41,210,712.02
20 2018-12-31 0.68 86.08 4.27 64,938,525.31
21 2018-09-30 - 101.71 2.60 115,816,924.39
22 2018-06-30 - 95.90 2.10 135,192,253.46
23 2018-03-31 25.98 98.24 11.08 178,655,920.20
24 2017-12-31 25.42 82.72 6.80 218,974,599.85
25 2017-09-30 26.86 82.66 3.02 213,029,254.80
26 2017-06-30 35.61 45.42 6.47 205,862,804.30
27 2017-03-31 8.30 24.80 32.95 692,003,425.22
28 2016-12-31 3.68 30.57 42.14 1,179,156,646.21
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