首页 - 基金 - 泰康沪港深价值优选混合(003580) - 资产配置
泰康沪港深价值优选混合(003580)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 83.66 0.06 11.18 92,056,418.17
2 2023-12-31 86.56 0.30 10.27 94,019,319.19
3 2023-09-30 86.99 0.06 12.41 115,130,668.39
4 2023-06-30 89.70 0.06 9.42 123,532,328.93
5 2023-03-31 90.69 0.06 8.39 130,309,408.82
6 2022-12-31 89.69 0.05 9.94 131,315,329.03
7 2022-09-30 89.69 1.68 16.66 125,964,476.58
8 2022-06-30 82.29 6.70 7.02 186,539,209.05
9 2022-03-31 85.70 6.76 4.77 179,851,586.03
10 2021-12-31 91.23 4.86 2.61 261,986,709.90
11 2021-09-30 86.08 5.76 3.08 287,705,382.07
12 2021-06-30 84.71 4.73 3.81 308,093,846.75
13 2021-03-31 88.68 5.54 3.63 264,373,687.38
14 2020-12-31 93.73 5.66 2.49 154,380,188.04
15 2020-09-30 89.46 6.93 3.93 130,369,526.23
16 2020-06-30 88.64 6.69 5.30 123,866,078.43
17 2020-03-31 88.01 7.89 5.02 106,211,626.53
18 2019-12-31 90.15 6.60 4.37 119,095,523.74
19 2019-09-30 88.30 7.15 4.80 107,305,079.90
20 2019-06-30 81.49 7.57 7.21 113,219,669.84
21 2019-03-31 84.53 8.28 8.53 122,027,237.63
22 2018-12-31 74.40 8.44 10.35 105,099,523.06
23 2018-09-30 79.34 6.67 9.68 123,064,234.98
24 2018-06-30 86.71 5.77 4.12 139,174,281.70
25 2018-03-31 85.91 4.60 1.89 146,997,312.37
26 2017-12-31 85.37 5.92 3.20 125,513,671.41
27 2017-09-30 84.78 6.57 8.99 91,322,197.34
28 2017-06-30 80.56 5.74 6.55 112,088,210.03
29 2017-03-31 77.05 19.16 4.12 159,929,309.07
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