首页 - 基金 - 银河睿达灵活配置混合C(005387) - 资产配置
银河睿达灵活配置混合C(005387)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 2025-09-30 - 60.30 42.01 27,933,774.16
2 2025-06-30 18.50 107.14 2.82 537,686,087.06
3 2025-03-31 14.47 83.13 0.97 536,278,455.63
4 2024-12-31 21.56 72.09 2.62 543,026,735.51
5 2024-09-30 25.77 94.38 8.42 538,272,809.90
6 2024-06-30 19.56 101.36 2.91 519,605,614.25
7 2024-03-31 19.05 105.52 5.24 518,840,519.84
8 2023-12-31 19.85 101.95 2.68 518,254,341.47
9 2023-09-30 17.86 103.40 1.53 524,740,662.93
10 2023-06-30 18.83 95.01 1.26 538,043,579.07
11 2023-03-31 19.57 92.20 1.72 541,108,885.26
12 2022-12-31 22.57 87.85 3.81 562,742,279.07
13 2022-09-30 16.32 102.95 1.20 730,059,989.63
14 2022-06-30 18.57 94.42 2.95 731,820,235.56
15 2022-03-31 16.68 85.28 1.20 740,868,371.59
16 2021-12-31 20.52 92.59 0.96 735,528,870.90
17 2021-09-30 17.23 95.63 0.91 807,132,671.50
18 2021-06-30 21.93 81.58 0.71 808,369,387.03
19 2021-03-31 17.10 57.46 1.60 785,894,015.34
20 2020-12-31 34.73 47.78 2.96 251,961,374.10
21 2020-09-30 63.88 5.32 5.68 117,954,683.17
22 2020-06-30 74.77 5.81 3.76 103,435,275.36
23 2020-03-31 77.22 17.42 1.18 93,586,879.51
24 2019-12-31 13.98 71.17 1.33 154,207,533.27
25 2019-09-30 15.36 70.51 13.00 52,699,969.69
26 2019-06-30 7.21 100.34 3.63 153,654,467.25
27 2019-03-31 - 97.54 1.82 151,270,729.79
28 2018-12-31 39.15 43.73 3.07 29,049,540.47
29 2018-09-30 - 84.86 13.67 33,552,283.31
30 2018-06-30 - 96.03 3.36 52,442,669.48
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