金鹰稳进配置六个月持有混合发起(FOF)A(015792) |
净值:
1.0335
|
日增长率:
0.01%
|
累计净值:1.0335 | 2025-04-16 |
|
报告期 | 股票占净比(%) | 债券占净比(%) | 现金占净比(%) | 净资产(元) |
2024-12-31 | - | 5.42 | 3.19 | 571,446,467.75 |
2024-09-30 | - | 10.23 | 0.30 | 868,279,947.88 |
2024-06-30 | - | 5.17 | 0.46 | 831,410,950.11 |
2024-03-31 | - | 5.23 | 2.01 | 759,010,431.35 |
2023-12-31 | - | 5.42 | 0.78 | 939,560,859.94 |