基金经理:王颖
| 单位净值:1.7742 | 净值增长率:-1.59% } else {?> | 净值增长率:-1.59% | 累计净值:1.7742 | 截止日期:2025/12/16 | |
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| 最新估值:-(-) | 涨跌幅:- | 涨跌额:- | |||
| 最新规模:3.96亿元 | 风险等级:中高风险 | 申购状态:可申购 | 赎回状态:可赎回 |
中信保诚景气优选混合C(020152)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 |
| 2025/9/30 | 395,398,000 | 57,809,500 | 591,297,000 | 568,513,000 | 70% |
| 2025/6/30 | 368,043,000 | 16,648,100 | 609,734,000 | 560,050,000 | 66% |
| 2025/3/31 | 36,058,200 | 3,044,560 | 60,013,700 | 56,419,700 | 64% |
| 2024/12/31 | 40,591,300 | 3,057,330 | 50,775,100 | 48,300,600 | 84% |
| 2024/9/30 | 21,796,300 | 1,328,710 | 30,157,200 | 28,519,700 | 76% |
| 2024/6/30 | 23,839,800 | 1,523,420 | 28,225,300 | 27,682,300 | 86% |