首页 - 基金 - 兴业优势产业混合C(010182) - 资产配置
兴业优势产业混合C(010182)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 85.01 - 12.54 73,153,259.56
2 2025-06-30 80.50 6.57 13.16 66,590,317.91
3 2025-03-31 84.24 6.26 14.71 69,523,130.74
4 2024-12-31 82.90 5.99 11.43 72,727,053.05
5 2024-09-30 82.85 - 19.92 99,653,176.23
6 2024-06-30 67.59 - 31.65 90,671,848.95
7 2024-03-31 78.38 2.86 16.15 70,335,853.67
8 2023-12-31 78.03 5.59 17.47 71,983,843.42
9 2023-09-30 82.96 6.73 1.29 80,015,858.64
10 2023-06-30 78.30 6.10 16.88 87,886,511.86
11 2023-03-31 74.48 5.69 20.11 93,594,996.33
12 2022-12-31 76.06 6.05 18.56 92,802,296.00
13 2022-09-30 81.13 5.70 13.51 98,005,864.29
14 2022-06-30 81.91 9.13 9.04 113,743,820.16
15 2022-03-31 79.94 9.66 6.33 107,055,405.84
16 2021-12-31 80.69 7.45 11.54 135,328,387.49
17 2021-09-30 79.63 6.10 12.94 165,961,853.80
18 2021-06-30 89.61 6.19 6.51 239,165,375.84
19 2021-03-31 82.69 5.77 11.39 309,135,299.36
20 2020-12-31 69.96 5.34 17.32 641,353,820.21
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