首页 - 基金 - 中银润利混合C(003967) - 资产配置
中银润利混合C(003967)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 2023-03-31 0.36 - 100.94 12,314,735.65
2 2022-12-31 15.85 48.02 12.49 21,044,568.97
3 2022-09-30 19.11 44.64 3.72 90,931,303.90
4 2022-06-30 31.59 64.89 2.26 313,624,784.94
5 2022-03-31 25.96 70.31 1.40 569,068,044.24
6 2021-12-31 24.33 76.76 1.42 735,659,880.67
7 2021-09-30 25.47 60.12 1.50 820,154,385.53
8 2021-06-30 16.98 75.10 1.61 788,758,548.82
9 2021-03-31 20.52 63.38 1.35 712,443,148.08
10 2020-12-31 22.49 66.27 1.19 772,671,989.63
11 2020-09-30 20.10 77.24 3.48 790,832,158.01
12 2020-06-30 13.08 67.53 2.54 691,471,029.64
13 2020-03-31 23.47 98.69 2.24 515,858,529.49
14 2019-12-31 22.40 97.19 3.42 521,673,824.98
15 2019-09-30 17.86 104.55 1.93 514,943,564.94
16 2019-06-30 19.83 100.54 3.92 508,319,008.26
17 2019-03-31 14.83 100.97 3.18 538,647,852.39
18 2018-12-31 23.63 99.47 1.28 513,992,367.38
19 2018-09-30 16.13 85.51 1.40 808,834,632.99
20 2018-06-30 15.58 85.69 0.87 802,079,156.43
21 2018-03-31 15.35 82.17 0.45 801,802,967.27
22 2017-12-31 15.92 81.83 1.42 800,444,697.46
23 2017-09-30 15.28 45.93 39.42 811,881,308.85
24 2017-06-30 17.19 27.51 54.74 822,027,221.76
25 2017-03-31 15.95 10.33 73.20 810,938,822.22
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