首页 - 基金 - 万家民丰回报一年持有混合(008979) - 资产配置
万家民丰回报一年持有混合(008979)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 12.04 101.83 4.28 255,612,457.55
2 2026-03-31 10.76 100.43 1.02 277,903,494.32
3 2025-12-31 11.40 109.77 0.91 311,025,526.67
4 2025-09-30 12.04 109.01 2.09 357,989,780.06
5 2025-06-30 8.81 111.82 0.82 435,101,599.90
6 2025-03-31 12.52 115.53 4.88 507,628,963.74
7 2024-12-31 12.91 121.57 0.74 620,087,816.99
8 2024-09-30 18.03 102.70 0.64 867,050,927.04
9 2024-06-30 15.29 107.34 0.57 905,859,482.49
10 2024-03-31 20.30 114.71 0.49 1,002,296,107.55
11 2023-12-31 28.07 104.18 0.57 1,050,902,987.45
12 2023-09-30 28.77 106.35 0.31 1,145,472,539.09
13 2023-06-30 29.81 97.65 0.91 1,336,945,132.08
14 2023-03-31 29.07 92.34 0.76 1,560,648,472.90
15 2022-12-31 29.23 95.53 0.31 1,662,526,323.80
16 2022-09-30 29.35 91.45 0.56 1,851,108,882.19
17 2022-06-30 25.24 94.33 0.92 2,469,284,620.84
18 2022-03-31 10.57 88.37 0.09 3,772,973,421.27
19 2021-12-31 12.35 93.30 0.21 4,492,930,253.46
20 2021-09-30 11.41 89.72 0.15 4,968,048,688.53
21 2021-06-30 8.44 88.33 0.20 5,050,428,380.01
22 2021-03-31 9.19 73.18 0.89 2,800,067,363.66
23 2020-12-31 12.94 69.82 0.41 2,319,533,342.57
24 2020-09-30 11.08 95.12 1.82 1,186,960,043.50
25 2020-06-30 12.76 98.96 1.36 1,053,839,037.67
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