国联安增鑫纯债债券C(006153)资产配置 |
|
报告日期 |
股票(元) |
债券(元) |
基金总资产(元) |
基金净值(元) |
股票占净值比 |
2024/9/30 |
0 |
1,032,160,000 |
1,138,350,000 |
1,137,730,000 |
0% |
2024/6/30 |
0 |
1,127,390,000 |
1,137,120,000 |
1,136,560,000 |
0% |
2024/3/31 |
0 |
1,177,050,000 |
1,177,470,000 |
1,129,360,000 |
0% |
2023/12/31 |
0 |
1,059,260,000 |
1,122,560,000 |
1,121,890,000 |
0% |
2023/9/30 |
0 |
1,043,140,000 |
1,115,480,000 |
1,114,880,000 |
0% |
2023/6/30 |
0 |
950,891,000 |
1,110,560,000 |
1,110,030,000 |
0% |
2023/3/31 |
0 |
1,174,100,000 |
1,175,040,000 |
1,101,480,000 |
0% |
2022/12/31 |
0 |
1,164,640,000 |
1,165,050,000 |
1,094,830,000 |
0% |
2022/9/30 |
0 |
1,252,100,000 |
1,253,180,000 |
1,094,540,000 |
0% |
2022/6/30 |
0 |
1,220,340,000 |
1,221,970,000 |
1,087,380,000 |
0% |
2022/3/31 |
0 |
1,476,660,000 |
1,479,610,000 |
1,077,510,000 |
0% |
2021/12/31 |
0 |
1,212,650,000 |
1,232,020,000 |
1,069,350,000 |
0% |
2021/9/30 |
0 |
1,071,890,000 |
1,093,500,000 |
1,060,930,000 |
0% |
2021/6/30 |
0 |
1,151,080,000 |
1,174,160,000 |
1,051,760,000 |
0% |
2021/3/31 |
0 |
1,114,820,000 |
1,130,070,000 |
1,069,390,000 |
0% |
2020/12/31 |
0 |
1,113,470,000 |
1,127,580,000 |
1,060,670,000 |
0% |
2020/9/30 |
0 |
951,774,000 |
1,051,370,000 |
1,050,770,000 |
0% |
2020/6/30 |
0 |
1,232,730,000 |
1,261,650,000 |
1,049,630,000 |
0% |
2020/3/31 |
0 |
1,138,940,000 |
1,159,310,000 |
1,073,040,000 |
0% |
2019/12/31 |
0 |
1,212,880,000 |
1,238,220,000 |
1,058,430,000 |
0% |
2019/9/30 |
0 |
1,310,570,000 |
1,329,900,000 |
1,070,720,000 |
0% |
2019/6/30 |
0 |
1,311,510,000 |
1,340,920,000 |
1,060,860,000 |
0% |
2019/3/31 |
0 |
1,719,840,000 |
1,746,860,000 |
1,607,490,000 |
0% |
*注:新浪财经提醒:以上数据由合作伙伴提供,仅供参考,交易请以正式公告数据为准。