首页 - 基金 - 华安稳固收益债券A(002534) - 资产配置
华安稳固收益债券A(002534)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 2023-12-31 - 99.74 0.34 404,500,464.87
2 2023-09-30 - 99.42 0.73 441,891,531.88
3 2023-06-30 - 99.86 0.17 578,750,893.48
4 2023-03-31 - 99.91 0.10 574,954,388.91
5 2022-12-31 - 98.28 0.51 681,466,778.06
6 2022-09-30 2.28 82.06 0.53 395,128,760.31
7 2022-06-30 4.87 88.30 0.84 415,789,127.28
8 2022-03-31 5.44 87.07 1.12 442,751,553.72
9 2021-12-31 6.16 92.01 0.51 422,158,427.21
10 2021-09-30 11.04 81.38 3.50 511,757,926.64
11 2021-06-30 7.36 90.34 0.64 682,915,997.12
12 2021-03-31 5.36 93.02 0.34 959,298,111.42
13 2020-12-31 7.22 90.30 0.45 1,073,212,928.32
14 2020-09-30 5.81 92.45 0.25 2,201,374,816.23
15 2020-06-30 2.89 86.12 0.50 2,424,558,633.16
16 2020-03-31 2.54 95.57 0.57 1,520,088,139.31
17 2019-12-31 1.88 96.32 0.56 1,535,211,045.01
18 2019-09-30 1.70 96.47 0.56 2,271,435,904.50
19 2019-06-30 0.84 94.95 0.91 2,633,018,207.84
20 2019-03-31 0.32 96.60 0.37 3,954,854,729.87
21 2018-12-31 0.23 95.60 1.79 4,164,334,685.53
22 2018-09-30 0.27 90.71 0.27 3,958,608,233.99
23 2018-06-30 - 94.26 0.49 3,126,441,653.67
24 2018-03-31 - 97.83 0.17 2,764,396,282.03
25 2017-12-31 - 88.98 0.20 3,539,999,840.23
26 2017-09-30 - 97.38 1.17 234,201,593.74
27 2017-06-30 3.89 92.84 0.21 256,559,643.05
28 2017-03-31 - 98.10 0.53 396,783,125.89
29 2016-12-31 - 83.97 1.62 600,336,894.80
30 2016-09-30 - 94.37 1.04 1,500,257,810.56
31 2016-06-30 - 92.29 7.81 1,494,079,158.20
32 2016-03-31 - 90.60 0.11 2,014,868,413.70
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