新华鑫科技3个月滚动持有灵活配置混合C(012201)资产配置 |
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| 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 |
| 2025/12/31 |
74,176,600 |
- |
79,683,400 |
78,405,800 |
95% |
| 2025/9/30 |
103,079,000 |
- |
113,274,000 |
111,766,000 |
92% |
| 2025/6/30 |
95,303,700 |
- |
107,259,000 |
102,194,000 |
93% |
| 2025/3/31 |
86,754,500 |
- |
99,976,300 |
99,658,400 |
87% |
| 2024/12/31 |
111,388,000 |
223,499 |
118,639,000 |
118,140,000 |
94% |
| 2024/9/30 |
111,849,000 |
- |
119,628,000 |
119,347,000 |
94% |
| 2024/6/30 |
99,760,800 |
- |
113,446,000 |
113,191,000 |
88% |
| 2024/3/31 |
93,168,700 |
- |
116,719,000 |
116,397,000 |
80% |
| 2023/12/31 |
111,680,000 |
- |
123,788,000 |
122,998,000 |
91% |
| 2023/9/30 |
132,774,000 |
- |
143,779,000 |
143,440,000 |
93% |
| 2023/6/30 |
154,767,000 |
- |
168,942,000 |
168,484,000 |
92% |
| 2023/3/31 |
172,486,000 |
- |
185,009,000 |
184,575,000 |
93% |
| 2022/12/31 |
144,342,000 |
- |
158,012,000 |
154,560,000 |
93% |
| 2022/9/30 |
123,107,000 |
- |
174,218,000 |
172,991,000 |
71% |
| 2022/6/30 |
181,644,000 |
- |
201,385,000 |
200,947,000 |
90% |
| 2022/3/31 |
157,022,000 |
- |
204,508,000 |
203,874,000 |
77% |
| 2021/12/31 |
234,050,000 |
- |
286,509,000 |
285,195,000 |
82% |
| 2021/9/30 |
293,698,000 |
- |
415,884,000 |
414,400,000 |
71% |
| 2021/6/30 |
800,731,000 |
- |
868,218,000 |
866,778,000 |
92% |
*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。