东方红收益增强债券A

(001862)公募固收增强型债券型
各季度资产配置
季报日期 净资总值(亿元) 净资净值(亿元) 股票 债券 现金 其他
市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%)
2026-06-3027.7726.255.1913.98%18.70%21.5382.02%77.52%0.461.76%1.67%0.592.24%2.11%
2026-03-3147.6538.427.4519.40%15.64%35.2667.75%74.00%4.5011.71%9.44%0.441.14%0.92%
2025-12-3137.1535.286.7913.94%18.29%29.5383.71%79.48%0.471.34%1.28%0.351.01%0.95%
2025-09-3031.8529.815.8012.62%18.20%25.8386.65%81.11%0.190.65%0.61%0.030.08%0.08%
2025-06-3011.5311.002.1714.94%18.84%8.8880.73%77.03%0.363.27%3.12%0.121.06%1.01%
2025-03-317.677.281.4314.27%18.65%6.0482.94%78.70%0.192.60%2.47%0.010.19%0.18%
2024-12-313.163.040.4912.11%15.61%2.5383.21%79.89%0.103.15%3.02%0.051.53%1.48%
2024-09-301.441.330.2611.17%17.86%1.0982.37%76.16%0.042.67%2.47%0.000.02%0.03%
2024-06-302.041.940.3412.25%16.53%1.5780.74%76.81%0.041.83%1.74%0.105.18%4.92%
2024-03-314.033.200.5918.29%14.53%2.6155.73%64.84%0.5818.27%14.51%0.257.71%6.12%
2023-12-314.103.500.6518.42%15.75%3.1974.14%77.89%0.205.68%4.85%0.061.76%1.51%
2023-09-308.926.621.2619.03%14.13%7.1873.79%80.54%0.274.15%3.08%0.203.03%2.25%
2023-06-3010.748.731.6819.27%15.66%8.7076.59%80.97%0.273.05%2.48%0.101.09%0.89%
2023-03-3113.0410.381.9718.94%15.07%10.0270.85%76.80%0.262.54%2.02%0.807.67%6.11%
2022-12-3114.9111.932.2819.12%15.29%12.0275.77%80.62%0.433.63%2.91%0.060.49%0.39%
2022-09-3022.8318.513.4118.41%14.93%18.9479.03%82.99%0.472.55%2.07%0.000.01%0.01%
2022-06-3024.7620.744.0519.51%16.34%19.7675.90%79.82%0.643.07%2.57%0.321.52%1.27%
2022-03-3135.1429.755.5518.67%15.81%29.1079.68%82.79%0.491.65%1.40%0.000.00%0.00%
2021-12-3130.7428.274.998.92%16.24%24.9788.33%81.23%0.511.81%1.66%0.270.94%0.87%
2021-09-3017.6915.592.955.49%16.69%13.5086.57%76.31%0.372.37%2.09%0.875.57%4.91%
2021-06-3017.2314.252.6218.36%15.18%14.0977.93%81.75%0.372.59%2.14%0.161.12%0.93%
2021-03-3118.4216.822.776.93%15.04%14.7587.69%80.04%0.774.56%4.16%0.140.82%0.76%
2020-12-3123.2219.603.5117.92%15.12%19.0078.48%81.84%0.462.36%1.99%0.241.24%1.05%
2020-09-3030.7825.404.4817.64%14.56%24.3374.61%79.05%0.702.77%2.28%1.264.98%4.11%
2020-06-3033.0725.304.8219.04%14.56%27.5978.31%83.41%0.291.13%0.86%0.381.52%1.17%
2020-03-3141.0238.247.3812.03%17.99%32.3684.61%78.88%0.711.87%1.74%0.571.49%1.39%
2019-12-3128.3927.234.7113.04%16.59%22.6783.24%79.84%0.481.76%1.69%0.431.59%1.53%
2019-09-3026.6721.393.4115.94%12.78%22.4080.02%83.98%0.251.19%0.95%0.612.85%2.29%
2019-06-3021.1416.962.4114.21%11.40%17.9080.89%84.67%0.613.58%2.87%0.221.32%1.06%
2019-03-3125.3520.383.6217.75%14.27%21.1379.29%83.36%0.351.71%1.37%0.211.05%0.84%
2018-12-3113.1610.041.5315.28%11.66%10.5373.79%80.00%0.343.38%2.58%0.737.30%5.57%
2018-09-3013.119.961.8018.08%13.74%10.9178.00%83.27%0.191.88%1.43%0.202.04%1.56%
2018-06-3014.4111.211.7215.38%11.96%12.2280.42%84.77%0.353.10%2.41%0.121.10%0.86%
2018-03-3115.3811.192.2319.95%14.52%12.3873.20%80.49%0.393.49%2.54%0.383.36%2.45%
2017-12-3116.6312.192.3719.46%14.26%13.5274.47%81.29%0.473.85%2.82%0.272.22%1.63%
2017-09-3017.4312.992.3618.19%13.55%13.9873.47%80.23%0.382.94%2.19%0.584.48%3.34%
2017-06-3012.789.481.8319.30%14.32%10.3474.35%80.97%0.343.55%2.63%0.272.80%2.08%
2017-03-3114.4810.392.0419.59%14.06%11.8074.20%81.49%0.474.52%3.24%0.181.69%1.21%
2016-12-3114.6811.411.1810.35%8.04%12.2078.29%83.13%0.504.35%3.38%0.211.80%1.40%
2016-09-3022.1617.052.6815.72%12.09%18.4678.30%83.31%0.573.35%2.57%0.452.63%2.03%
2016-06-3018.7915.912.4015.11%12.79%15.5579.60%82.73%0.412.55%2.16%0.442.74%2.32%
2016-03-3138.9730.873.9412.75%10.09%33.7082.93%86.47%0.611.99%1.58%0.622.01%1.60%
2015-12-310.0034.130.000.00%0.00%0.000.00%0.00%0.000.00%0.00%0.000.00%0.00%