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北信瑞丰新成长(001866)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 2022-12-31 91.81 - 9.17 5,569,176.83
2 2022-09-30 90.96 - 10.74 5,505,749.80
3 2022-06-30 84.81 - 15.97 7,546,032.59
4 2022-03-31 94.21 - 7.80 7,489,966.89
5 2021-12-31 94.51 - 9.57 12,446,436.89
6 2021-09-30 93.16 - 7.28 15,203,460.26
7 2021-06-30 91.97 - 8.78 18,230,680.77
8 2021-03-31 18.85 - 79.95 50,438,361.26
9 2020-12-31 80.83 - 10.52 201,974,942.69
10 2020-09-30 84.37 0.08 7.79 228,813,681.46
11 2020-06-30 71.40 10.51 12.02 195,278,514.45
12 2020-03-31 51.02 - 25.47 169,497,070.49
13 2019-12-31 87.05 - 15.77 164,352,844.72
14 2019-09-30 50.43 3.33 6.71 148,724,701.27
15 2019-06-30 32.93 22.79 12.33 87,672,215.58
16 2019-03-31 31.03 - 31.20 85,793,446.50
17 2018-12-31 32.35 - 29.43 78,275,741.98
18 2018-09-30 28.13 5.91 24.15 84,589,744.26
19 2018-06-30 68.59 10.35 14.39 86,642,589.01
20 2018-03-31 17.05 31.70 19.33 125,122,116.52
21 2017-12-31 44.72 43.16 2.22 158,064,138.52
22 2017-09-30 32.28 91.53 0.50 204,143,794.17
23 2017-06-30 32.51 57.48 0.85 207,113,121.06
24 2017-03-31 34.70 - 65.73 58,977,504.66
25 2016-12-31 31.46 - 43.66 58,189,891.93
26 2016-09-30 47.66 - 26.83 41,074,323.17
27 2016-06-30 10.07 - 13.93 46,297,084.42
28 2016-03-31 15.09 - 32.19 39,979,503.60
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