首页 - 基金 - 华泰柏瑞消费成长混合(001069) - 资产配置
华泰柏瑞消费成长混合(001069)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 2025-09-30 89.16 - 11.33 358,395,174.88
2 2025-06-30 91.03 - 13.37 186,807,686.01
3 2025-03-31 93.12 - 7.57 174,677,054.25
4 2024-12-31 86.78 - 14.07 174,768,902.65
5 2024-09-30 94.57 - 5.53 182,383,445.24
6 2024-06-30 84.73 - 18.00 158,113,750.26
7 2024-03-31 89.26 - 13.84 153,639,020.73
8 2023-12-31 82.20 - 16.25 158,435,203.22
9 2023-09-30 70.64 - 24.28 185,101,578.97
10 2023-06-30 86.03 - 18.13 218,657,213.68
11 2023-03-31 92.70 - 6.81 214,537,406.73
12 2022-12-31 92.36 - 9.62 209,661,982.29
13 2022-09-30 87.63 - 8.18 266,041,263.64
14 2022-06-30 92.27 - 14.23 355,891,392.69
15 2022-03-31 92.97 - 9.13 366,192,003.78
16 2021-12-31 90.92 - 11.82 483,126,090.21
17 2021-09-30 94.56 - 10.11 425,377,539.49
18 2021-06-30 85.07 4.65 11.45 534,956,935.21
19 2021-03-31 86.08 5.48 15.11 544,488,442.06
20 2020-12-31 94.68 - 11.57 572,648,106.31
21 2020-09-30 82.11 - 18.20 719,401,895.51
22 2020-06-30 92.70 0.02 7.43 531,850,960.08
23 2020-03-31 87.11 - 12.76 328,113,206.67
24 2019-12-31 94.52 0.18 5.92 281,645,695.37
25 2019-09-30 94.26 0.18 6.18 282,137,512.04
26 2019-06-30 94.76 - 5.57 281,006,863.66
27 2019-03-31 94.95 - 5.29 297,851,459.23
28 2018-12-31 93.96 - 6.46 236,861,680.94
29 2018-09-30 94.97 - 5.29 275,547,697.96
30 2018-06-30 94.59 - 5.79 300,289,902.26
31 2018-03-31 94.89 0.18 5.40 320,415,542.23
32 2017-12-31 94.57 0.14 5.84 371,840,987.00
33 2017-09-30 94.36 - 6.23 442,494,024.38
34 2017-06-30 92.53 - 5.91 468,051,997.99
35 2017-03-31 79.45 - 9.45 517,229,258.78
36 2016-12-31 89.82 - 11.16 628,790,971.20
37 2016-09-30 94.12 - 5.93 876,666,621.94
38 2016-06-30 3.05 - 68.60 904,214,265.51
39 2016-03-31 93.56 - 7.24 937,535,415.02
40 2015-12-31 90.44 - 6.12 1,033,900,803.14
41 2015-09-30 93.09 - 7.35 904,026,325.02
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