首页 - 基金 - 银华估值优势混合(005250) - 资产配置
银华估值优势混合(005250)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 2026-03-31 89.34 0.60 6.63 100,987,326.64
2 2025-12-31 93.49 0.35 6.73 116,010,030.43
3 2025-09-30 94.31 - 8.03 124,873,301.66
4 2025-06-30 94.05 1.05 7.19 125,307,468.74
5 2025-03-31 91.66 - 13.24 125,050,471.93
6 2024-12-31 91.55 - 8.78 132,808,612.39
7 2024-09-30 90.55 - 7.19 143,002,252.58
8 2024-06-30 91.11 - 9.30 122,142,171.40
9 2024-03-31 87.60 - 11.54 124,369,188.48
10 2023-12-31 89.79 - 12.11 125,850,496.31
11 2023-09-30 92.07 - 8.75 143,759,590.98
12 2023-06-30 90.65 - 9.78 158,230,896.06
13 2023-03-31 92.09 - 10.42 171,346,210.21
14 2022-12-31 93.04 - 7.44 179,049,101.17
15 2022-09-30 89.83 - 10.62 191,572,342.90
16 2022-06-30 91.06 - 11.07 231,327,987.67
17 2022-03-31 91.25 - 8.65 235,874,049.41
18 2021-12-31 92.13 - 8.20 285,437,012.51
19 2021-09-30 92.03 - 6.40 294,720,157.60
20 2021-06-30 91.51 - 9.00 341,151,557.37
21 2021-03-31 90.71 - 10.15 292,478,360.44
22 2020-12-31 90.72 - 10.70 358,064,036.83
23 2020-09-30 88.07 - 11.46 352,410,957.74
24 2020-06-30 91.08 - 9.42 419,156,721.91
25 2020-03-31 88.07 - 12.43 474,936,430.49
26 2019-12-31 91.82 1.85 9.41 955,081,360.75
27 2019-09-30 89.66 3.06 7.42 1,338,653,588.18
28 2019-06-30 87.19 3.42 8.70 1,795,428,181.32
29 2019-03-31 91.43 - 8.90 1,930,719,123.18
30 2018-12-31 84.94 - 6.85 1,488,471,659.55
31 2018-09-30 80.54 - 16.42 1,785,536,229.46
32 2018-06-30 89.80 - 19.18 2,104,269,327.31
33 2018-03-31 92.58 - 6.30 2,303,190,431.41
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