首页 - 基金 - 万家瑞尧灵活配置混合A(004731) - 资产配置
万家瑞尧灵活配置混合A(004731)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 2024-09-30 - - 100.34 9,074,012.40
2 2024-06-30 - 91.97 8.26 10,216,401.81
3 2024-03-31 - 95.44 7.85 6,781,640.69
4 2023-12-31 18.04 72.08 9.53 42,442,750.54
5 2023-09-30 36.41 56.01 5.28 45,084,109.49
6 2023-06-30 34.91 47.65 3.77 46,897,976.37
7 2023-03-31 26.24 63.15 4.73 79,748,338.68
8 2022-12-31 20.81 74.70 2.14 249,314,238.07
9 2022-09-30 17.90 76.23 0.78 507,045,274.53
10 2022-06-30 19.96 71.18 1.09 542,943,964.85
11 2022-03-31 23.06 82.37 1.19 736,779,017.31
12 2021-12-31 19.61 85.64 1.77 721,059,951.13
13 2021-09-30 16.29 89.54 0.97 791,868,493.51
14 2021-06-30 18.19 87.45 0.93 746,743,924.44
15 2021-03-31 24.34 96.46 2.04 534,538,781.54
16 2020-12-31 30.38 91.68 1.83 504,755,423.90
17 2020-09-30 26.53 94.30 0.91 492,183,798.20
18 2020-06-30 23.24 76.78 1.76 263,836,597.76
19 2020-03-31 29.99 83.09 4.88 185,582,504.73
20 2019-12-31 35.04 78.49 3.64 211,612,502.67
21 2019-09-30 33.95 66.94 0.78 184,451,892.29
22 2019-06-30 40.36 75.78 7.04 153,441,000.23
23 2019-03-31 93.49 - 6.76 85,718,164.62
24 2018-12-31 92.97 - 7.29 101,021,013.07
25 2018-09-30 89.37 - 11.71 151,820,848.48
26 2018-06-30 94.09 - 5.95 207,682,935.61
27 2018-03-31 63.89 - 37.26 215,896,748.12
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