首页 - 基金 - 鹏扬景恒六个月持有混合A(009130) - 资产配置
鹏扬景恒六个月持有混合A(009130)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 10.29 65.11 8.39 130,362,290.83
2 2026-03-31 15.18 70.37 7.26 144,045,447.07
3 2025-12-31 19.85 88.40 19.98 155,574,390.64
4 2025-09-30 18.59 101.83 6.12 175,447,428.69
5 2025-06-30 17.96 99.13 6.54 198,757,345.97
6 2025-03-31 17.18 99.97 5.11 207,240,188.98
7 2024-12-31 13.02 107.38 12.23 224,289,004.16
8 2024-09-30 12.41 94.35 7.48 259,853,840.48
9 2024-06-30 17.30 76.96 4.60 293,385,935.31
10 2024-03-31 15.95 93.45 4.06 339,557,180.33
11 2023-12-31 18.46 81.62 3.69 393,099,927.96
12 2023-09-30 22.39 75.74 3.52 426,670,554.81
13 2023-06-30 23.05 69.57 4.54 421,013,742.62
14 2023-03-31 28.86 90.22 4.08 467,546,373.59
15 2022-12-31 24.49 82.79 2.91 536,020,096.30
16 2022-09-30 24.46 74.26 3.09 628,716,893.34
17 2022-06-30 23.75 85.98 4.22 796,393,302.45
18 2022-03-31 19.25 81.40 7.74 935,592,112.08
19 2021-12-31 24.21 90.76 3.29 1,277,047,444.65
20 2021-09-30 21.45 91.73 2.38 1,623,826,725.85
21 2021-06-30 23.94 68.53 4.44 2,557,901,703.12
22 2021-03-31 23.49 74.78 2.29 3,502,109,085.73
23 2020-12-31 27.16 64.37 2.16 2,676,444,479.70
24 2020-09-30 20.48 96.66 1.12 3,401,600,418.32
25 2020-06-30 9.89 99.30 2.61 3,176,444,590.34
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