首页 - 基金 - 安信新动力混合A(001686) - 资产配置
安信新动力混合A(001686)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 2022-06-30 17.48 79.05 2.41 21,515,414.51
2 2022-03-31 18.25 67.67 11.17 29,718,291.66
3 2021-12-31 23.11 41.19 8.71 78,104,765.51
4 2021-09-30 37.53 55.80 6.72 278,243,688.87
5 2021-06-30 32.71 62.05 8.93 467,931,684.65
6 2021-03-31 33.11 63.43 2.89 613,314,327.48
7 2020-12-31 29.72 58.89 6.17 619,534,423.99
8 2020-09-30 29.66 58.39 3.13 478,405,870.96
9 2020-06-30 36.11 58.64 4.35 189,031,771.19
10 2020-03-31 40.56 46.18 12.84 142,293,679.42
11 2019-12-31 52.18 41.71 83.85 141,309,231.98
12 2019-09-30 25.03 69.29 3.26 277,053,011.37
13 2019-06-30 58.60 40.33 1.07 265,947,605.19
14 2019-03-31 25.46 35.46 42.58 564,028.27
15 2018-12-31 25.14 58.09 16.69 17,291,535.98
16 2018-09-30 17.93 73.94 7.31 122,965,268.83
17 2018-06-30 23.89 74.07 10.31 128,645,057.48
18 2018-03-31 22.07 84.78 2.33 264,439,047.21
19 2017-12-31 13.65 76.18 1.91 499,491,298.93
20 2017-09-30 13.93 74.49 4.30 621,060,487.33
21 2017-06-30 11.45 89.48 2.35 661,252,535.20
22 2017-03-31 11.21 85.17 1.05 617,470,978.47
23 2016-12-31 8.21 85.92 5.49 792,703,207.49
24 2016-09-30 6.32 98.75 2.17 799,601,176.18
25 2016-06-30 9.60 108.02 5.83 124,294,968.35
26 2016-03-31 1.59 127.15 0.81 1,593,779,999.20
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