首页 - 基金 - 金鹰鑫瑞混合A(003502) - 资产配置
金鹰鑫瑞混合A(003502)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 2026-06-30 11.98 85.67 2.19 134,692,339.36
2 2026-03-31 8.92 94.83 0.83 156,576,353.17
3 2025-12-31 5.51 110.82 0.44 120,403,860.48
4 2025-09-30 15.82 62.60 2.03 131,841,896.97
5 2025-06-30 9.91 107.25 0.56 336,820,484.22
6 2025-03-31 11.51 105.73 0.91 339,807,330.12
7 2024-12-31 4.99 116.63 1.26 380,857,550.53
8 2024-09-30 10.76 98.28 0.66 512,111,320.38
9 2024-06-30 6.29 114.56 1.45 275,674,932.02
10 2024-03-31 4.06 133.07 0.25 388,992,682.65
11 2023-12-31 2.04 106.09 0.82 409,886,731.98
12 2023-09-30 11.21 118.81 0.69 559,278,447.30
13 2023-06-30 9.76 118.93 0.81 665,804,880.39
14 2023-03-31 2.95 71.66 0.09 995,103,816.18
15 2022-12-31 2.12 67.19 0.18 2,630,085,197.97
16 2022-09-30 6.97 82.23 0.32 515,943,994.96
17 2022-06-30 18.36 84.47 0.77 440,769,882.81
18 2022-03-31 18.67 99.95 5.51 562,363,551.44
19 2021-12-31 19.09 81.40 0.23 732,635,302.33
20 2021-09-30 20.26 81.83 0.16 720,546,592.78
21 2021-06-30 26.98 73.76 0.26 489,789,324.56
22 2021-03-31 27.92 72.03 0.46 475,340,007.99
23 2020-12-31 29.87 79.36 0.18 363,148,949.11
24 2020-09-30 25.71 49.41 0.86 468,121,003.08
25 2020-06-30 3.76 103.96 0.19 297,399,822.16
26 2020-03-31 2.90 92.37 0.35 375,140,565.74
27 2019-12-31 - 81.63 0.22 412,044,315.09
28 2019-09-30 - 103.20 0.10 885,229,806.26
29 2019-06-30 - 125.42 2.42 851,262,790.12
30 2019-03-31 - 93.89 6.04 1,677,796,135.65
31 2018-12-31 - 124.50 7.78 3,870,017,750.67
32 2018-09-30 - 118.31 - 5,195,453,497.59
33 2018-06-30 - 106.84 0.16 194,695,312.53
34 2018-03-31 - 99.46 2.12 34,809,403.88
35 2017-12-31 - 62.67 1.40 46,293,953.04
36 2017-09-30 0.49 100.50 2.07 83,700,607.16
37 2017-06-30 12.62 114.67 0.74 476,541,283.14
38 2017-03-31 8.93 103.25 1.05 674,886,827.29
网站导航 | 公司简介 | 法律声明 | 诚聘英才 | 征稿启事 | 联系我们 | 广告服务 | 举报专区
欢迎访问证券之星!请点此与我们联系 版权所有: Copyright © 1996-