天天基金网 > 基金档案 > 国泰聚信价值优势混合A

扫一扫二维码

用手机打开页面

资产配置

报告期股票占净比债券占净比现金占净比净资产(亿元)
2024-09-3089.87%5.36%0.91%23.60
2024-06-3093.98%5.66%1.19%21.43
2024-03-3189.84%5.72%4.47%24.11
2023-12-3193.75%5.59%1.13%28.29
2023-09-3092.26%5.87%0.74%30.08
2023-06-3092.25%6.95%0.72%34.18
2023-03-3193.18%6.36%1.27%37.25
2022-12-3191.85%6.00%3.94%38.95
2022-09-3089.04%6.70%3.61%40.59
2022-06-3091.35%5.66%2.32%46.49
2022-03-3189.00%6.26%4.98%56.15
2021-12-3193.81%5.21%2.20%56.38
2021-09-3091.31%5.58%1.84%51.46
2021-06-3092.90%5.90%1.98%48.64
2021-03-3191.88%6.33%2.55%53.30
2020-12-3192.00%6.48%1.42%79.25
2020-09-3088.62%5.21%5.52%78.72
2020-06-3089.52%5.48%5.85%49.72
2020-03-3182.96%4.91%12.84%30.14
2019-12-3192.40%5.38%3.00%10.02
2019-09-3089.15%8.14%19.97%6.03
2019-06-3076.22%7.90%15.80%8.05
2019-03-3179.49%6.56%11.55%8.86
2018-12-3183.12%6.67%16.43%8.28
2018-09-3091.26%6.76%2.65%10.07
2018-06-3059.02%8.08%10.95%10.38
2018-03-3190.84%6.41%2.27%11.51
2017-12-3188.07%6.76%4.48%11.47
2017-09-3089.14%6.48%4.75%13.93
2017-06-3045.86%6.50%13.18%16.93
2017-03-3154.47%6.74%20.56%16.42
2016-12-3140.19%5.49%16.89%10.96
2016-09-3061.34%7.92%11.99%2.57
2016-06-3070.85%6.40%21.29%1.60
2016-03-3150.68%5.93%49.61%1.48
2015-12-3149.21%7.65%41.98%1.15
2015-09-3035.23%10.83%51.61%1.00
2015-06-3056.38%7.33%46.97%1.29
2015-03-3187.46%5.53%4.30%1.45
2014-12-3190.65%5.70%3.65%1.23
2014-09-3083.61%6.32%14.07%0.95
2014-06-3085.15%5.78%8.50%1.04
2014-03-3183.82%9.62%6.66%1.05
郑重声明:天天基金网发布此信息目的在于传播更多信息,与本网站立场无关。天天基金网不保证该信息(包括但不限于文字、数据及图表)全部或者部分内容的准确性、真实性、完整性、有效性、及时性、原创性等。相关信息并未经过本网站证实,不对您构成任何投资决策建议,据此操作,风险自担。数据来源:东方财富Choice数据。

将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

关于我们|资质证明|研究中心|联系我们|安全指引|免责条款|隐私条款|风险提示函|意见建议|在线客服|诚聘英才

天天基金客服热线:95021 |客服邮箱:vip@1234567.com.cn|人工服务时间:工作日 7:30-21:30 双休日 9:00-21:30
郑重声明:天天基金系证监会批准的基金销售机构[000000303]。天天基金网所载文章、数据仅供参考,使用前请核实,风险自负。
中国证监会上海监管局网址:www.csrc.gov.cn/pub/shanghai
CopyRight  上海天天基金销售有限公司  2011-现在  沪ICP证:沪B2-20130026  网站备案号:沪ICP备11042629号-1