首页 - 基金 - 泰康兴泰回报沪港深混合A(004340) - 资产配置
泰康兴泰回报沪港深混合A(004340)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 19.65 110.33 0.76 603,056,286.69
2 2023-12-31 19.90 114.86 0.34 683,130,548.26
3 2023-09-30 20.73 116.94 0.61 759,044,718.70
4 2023-06-30 20.66 111.00 0.10 854,251,537.34
5 2023-03-31 21.26 105.21 0.98 1,953,489,790.46
6 2022-12-31 22.48 113.87 0.61 2,098,918,758.11
7 2022-09-30 17.17 117.43 0.84 2,213,257,019.70
8 2022-06-30 16.70 116.65 0.84 2,402,786,992.58
9 2022-03-31 15.02 115.45 1.30 2,526,906,931.96
10 2021-12-31 21.55 112.80 1.26 1,907,471,688.83
11 2021-09-30 18.70 114.38 1.60 2,274,746,335.95
12 2021-06-30 17.25 109.66 1.15 3,186,466,781.55
13 2021-03-31 17.44 99.10 1.05 3,282,969,942.02
14 2020-12-31 20.36 89.57 0.80 2,023,646,528.31
15 2020-09-30 20.93 92.51 0.70 1,016,561,479.88
16 2020-06-30 28.04 98.95 0.68 591,150,715.08
17 2020-03-31 22.12 109.28 1.14 789,230,543.47
18 2019-12-31 10.15 104.92 0.49 947,942,857.83
19 2019-09-30 9.29 87.60 0.79 427,933,711.05
20 2019-06-30 13.86 116.74 0.51 169,380,224.43
21 2019-03-31 17.86 111.51 1.45 190,669,072.16
22 2018-12-31 12.17 121.91 0.11 227,481,616.76
23 2018-09-30 16.22 115.13 0.25 261,023,477.76
24 2018-06-30 27.06 96.77 0.19 292,066,583.44
25 2018-03-31 24.17 93.97 0.57 346,060,647.04
26 2017-12-31 24.56 112.34 0.25 420,501,728.03
27 2017-09-30 11.32 103.37 0.20 504,087,819.75
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