首页 - 基金 - 华宝券商ETF联接C(007531) - 资产配置
华宝券商ETF联接C(007531)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 2025-12-31 1.92 0.02 5.26 4,523,411,965.90
2 2025-09-30 2.51 - 6.34 4,638,794,956.25
3 2025-06-30 2.49 - 7.51 3,669,264,621.95
4 2025-03-31 1.43 - 5.99 4,057,144,512.62
5 2024-12-31 2.02 - 6.74 4,059,120,045.51
6 2024-09-30 1.41 - 5.97 4,808,833,893.98
7 2024-06-30 2.08 - 6.43 3,740,731,631.45
8 2024-03-31 1.96 - 6.16 3,719,801,985.98
9 2023-12-31 2.08 - 6.01 4,018,524,796.38
10 2023-09-30 4.24 - 6.02 3,809,247,008.93
11 2023-06-30 3.67 - 5.87 4,812,054,609.76
12 2023-03-31 3.68 - 6.25 5,280,272,764.14
13 2022-12-31 3.43 - 6.43 5,673,114,739.30
14 2022-09-30 3.26 - 6.30 5,665,334,943.90
15 2022-06-30 3.10 - 6.02 5,977,504,572.51
16 2022-03-31 3.23 - 6.67 5,660,733,613.43
17 2021-12-31 3.20 - 7.80 5,980,277,631.70
18 2021-09-30 3.27 - 6.13 5,093,732,069.64
19 2021-06-30 2.62 - 5.98 5,191,415,808.39
20 2021-03-31 - - 6.11 4,189,270,669.17
21 2020-12-31 0.96 - 5.95 4,064,768,906.78
22 2020-09-30 1.46 0.01 6.00 2,445,840,951.71
23 2020-06-30 0.51 - 5.91 1,570,660,388.09
24 2020-03-31 0.42 - 7.04 900,324,614.60
25 2019-12-31 0.89 - 8.41 422,678,326.22
26 2019-09-30 - - 7.93 320,313,303.17
27 2019-06-30 - - 9.44 258,613,144.24
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