华泰紫金季季享定开债券发起A(006654)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 |
2024/6/30 |
0 |
319,477,000 |
323,109,000 |
257,908,000 |
0% |
2024/3/31 |
7,707,500 |
60,298,400 |
74,601,600 |
65,841,600 |
12% |
2023/12/31 |
15,181,400 |
68,631,900 |
95,294,200 |
79,846,500 |
19% |
2023/9/30 |
13,056,500 |
73,950,300 |
94,319,600 |
83,696,600 |
16% |
2023/6/30 |
17,092,100 |
106,184,000 |
131,848,000 |
107,962,000 |
16% |
2023/3/31 |
24,583,300 |
130,125,000 |
165,111,000 |
147,055,000 |
17% |
2022/12/31 |
23,425,400 |
135,403,000 |
166,460,000 |
153,646,000 |
15% |
2022/9/30 |
12,206,000 |
136,798,000 |
162,418,000 |
161,608,000 |
8% |
2022/6/30 |
19,200,900 |
156,413,000 |
238,952,000 |
234,921,000 |
8% |
2022/3/31 |
30,607,500 |
259,574,000 |
371,522,000 |
371,057,000 |
8% |
2021/12/31 |
7,226,360 |
315,446,000 |
495,484,000 |
477,904,000 |
2% |
2021/9/30 |
0 |
664,603,000 |
692,137,000 |
644,947,000 |
0% |
2021/6/30 |
0 |
732,320,000 |
767,598,000 |
736,519,000 |
0% |
2021/3/31 |
0 |
860,853,000 |
919,727,000 |
918,230,000 |
0% |
2020/12/31 |
0 |
1,606,650,000 |
3,947,020,000 |
3,915,490,000 |
0% |
2020/9/30 |
0 |
3,960,630,000 |
4,460,420,000 |
4,115,030,000 |
0% |
2020/6/30 |
0 |
5,172,100,000 |
5,796,240,000 |
5,005,260,000 |
0% |
2020/3/31 |
0 |
4,799,390,000 |
5,339,060,000 |
4,092,800,000 |
0% |
2019/12/31 |
0 |
3,954,340,000 |
4,308,470,000 |
3,168,050,000 |
0% |
2019/9/30 |
0 |
2,637,640,000 |
2,892,480,000 |
2,125,040,000 |
0% |
2019/6/30 |
0 |
1,301,940,000 |
1,478,720,000 |
1,053,820,000 |
0% |
2019/3/31 |
0 |
350,372,000 |
398,734,000 |
310,233,000 |
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。