天天基金网 > 基金档案 > 华安强化收益债券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)
2024-09-3019.22%81.33%0.70%0.97
2024-06-3019.24%81.45%3.50%1.52
2024-03-3119.54%82.93%0.80%1.57
2023-12-3119.55%82.23%0.62%2.28
2023-09-3019.53%81.70%0.66%2.30
2023-06-3019.47%81.23%1.17%0.61
2023-03-3119.49%85.02%1.72%0.61
2022-12-3116.34%99.63%2.03%0.61
2022-09-3011.06%89.54%2.49%0.65
2022-06-3017.95%85.97%0.99%0.70
2022-03-318.39%87.70%1.01%0.70
2021-12-3114.53%80.13%1.08%0.81
2021-09-3012.69%81.01%1.95%0.90
2021-06-3018.75%96.88%0.98%0.89
2021-03-3111.26%88.81%2.54%0.88
2020-12-3119.57%80.43%0.69%1.13
2020-09-300.30%68.80%0.53%5.39
2020-06-3012.44%93.01%1.75%0.97
2020-03-318.04%102.03%1.20%0.87
2019-12-3112.07%94.51%0.91%0.82
2019-09-3010.46%92.12%0.88%0.79
2019-06-3011.59%89.22%1.07%1.01
2019-03-3110.20%82.70%2.43%1.04
2018-12-31---107.65%0.55%0.99
2018-09-306.92%84.23%2.63%0.88
2018-06-301.61%82.14%1.50%1.15
2018-03-317.82%88.14%1.28%1.05
2017-12-317.47%82.66%1.44%1.10
2017-09-309.38%80.55%1.52%1.19
2017-06-307.98%89.41%2.11%1.27
2017-03-311.42%86.10%1.26%2.02
2016-12-3181.41%81.41%3.33%2.63
2016-09-303.84%81.74%0.47%4.58
2016-06-3011.64%86.91%0.84%4.64
2016-03-3119.08%97.61%3.65%2.74
2015-12-3111.62%119.00%19.31%4.38
2015-09-301.38%106.97%7.58%2.87
2015-06-307.38%83.33%4.71%2.90
2015-03-3116.79%86.90%6.58%1.57
2014-12-316.23%131.06%1.97%1.08
2014-09-303.24%116.92%2.01%0.91
2014-06-308.96%109.76%9.88%1.23
2014-03-310.54%94.45%5.54%1.33
2013-12-310.11%50.06%45.31%2.66
2013-09-3013.21%91.48%2.30%2.01
2013-06-301.87%90.67%2.44%2.27
2013-03-314.32%90.46%2.62%2.93
2012-12-3113.46%89.31%1.39%2.32
2012-09-303.79%85.30%1.47%2.34
2012-06-300.00%125.81%1.33%2.56
2012-03-310.00%116.37%1.55%2.85
2011-12-310.25%133.91%6.96%3.32
2011-09-300.70%82.74%4.81%3.62
2011-06-307.18%118.40%1.75%4.94
2011-03-3110.39%86.65%5.85%6.45
2010-12-3113.02%83.16%9.81%6.78
2010-09-3011.97%93.84%3.33%7.66
2010-06-307.81%82.33%4.67%10.19
2010-03-3116.24%83.99%17.54%10.86
2009-12-3118.11%97.56%31.58%10.91
2009-09-3011.41%83.41%2.91%15.31
2009-06-3011.44%88.45%3.12%17.72
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