东方新策略灵活配置混合C

(002060)公募权益主动型混合型
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(%)
2026-06-303.173.132.9292.12%92.21%0.175.55%5.48%0.061.91%1.89%0.010.42%0.42%
2026-03-312.552.542.3592.20%92.21%0.155.79%5.78%0.052.00%2.00%0.000.01%0.01%
2025-12-312.432.312.1888.82%89.40%0.135.47%5.19%0.135.43%5.15%0.000.06%0.05%
2025-09-302.612.602.4694.15%94.17%0.145.23%5.21%0.010.34%0.34%0.000.09%0.09%
2025-06-302.282.272.0690.52%90.55%0.135.75%5.73%0.020.66%0.66%0.000.03%0.03%
2025-03-312.342.252.0386.46%86.95%0.135.78%5.57%0.094.20%4.05%0.000.01%0.01%
2024-12-310.260.260.1972.69%73.02%0.026.25%6.18%0.013.54%3.49%0.001.23%1.22%
2024-09-300.290.290.1963.79%64.44%0.026.02%5.91%0.012.18%2.14%0.001.70%1.68%
2024-06-300.300.290.2790.22%90.36%0.025.93%5.84%0.013.52%3.47%0.000.33%0.33%
2024-03-310.320.310.2885.71%86.21%0.027.19%6.93%0.025.10%4.92%0.012.00%1.94%
2023-12-310.520.390.2223.59%42.56%0.0410.11%7.60%0.1333.36%25.08%0.012.26%1.70%
2023-09-300.400.390.1946.36%47.34%0.1743.78%42.98%0.038.91%8.75%0.000.95%0.93%
2023-06-300.440.440.1942.84%42.34%0.2046.74%46.19%0.024.37%4.32%0.036.05%7.15%
2023-03-310.390.380.1332.18%33.07%0.2462.13%61.32%0.001.29%1.27%0.024.40%4.34%
2022-12-310.440.420.1532.01%34.85%0.1739.87%38.20%0.1125.75%24.68%0.012.37%2.27%
2022-09-300.460.450.1633.10%35.14%0.2454.22%52.57%0.0510.82%10.49%0.011.86%1.80%
2022-06-301.070.960.2818.50%26.63%0.5557.65%51.90%0.1818.80%16.92%0.055.05%4.55%
2022-03-313.103.090.8728.13%27.97%1.7757.47%57.15%0.165.20%5.17%0.309.20%9.71%
2021-12-315.515.501.3724.76%24.92%3.4362.24%62.11%0.458.13%8.11%0.274.87%4.86%
2021-09-305.985.971.6727.78%27.94%3.8263.98%63.84%0.457.54%7.53%0.040.70%0.69%
2021-06-306.836.241.4213.25%20.82%4.2668.32%62.36%0.477.59%6.93%0.243.78%3.45%
2021-03-315.854.871.398.41%23.75%2.7656.56%47.09%0.8617.67%14.71%0.050.94%0.78%
2020-12-314.854.841.1623.95%23.89%3.3569.25%69.07%0.030.60%0.60%0.316.20%6.44%
2020-09-305.965.951.4323.69%23.92%4.1669.98%69.78%0.305.00%4.98%0.081.33%1.32%
2020-06-301.251.240.8668.77%69.04%0.2520.34%20.16%0.097.20%7.14%0.053.69%3.66%
2020-03-312.432.410.8634.94%35.42%1.2150.12%49.75%0.3413.99%13.89%0.020.95%0.94%
2019-12-312.822.810.8730.60%30.87%1.8766.40%66.14%0.020.81%0.81%0.062.19%2.18%
2019-09-303.233.140.8423.74%25.93%1.0734.21%33.23%1.3041.32%40.13%0.020.73%0.71%
2019-06-302.462.451.3053.10%52.77%0.5623.04%22.90%0.3012.21%12.14%0.3011.65%12.19%
2019-03-310.930.900.4547.81%49.07%0.4044.15%43.09%0.077.33%7.15%0.010.71%0.69%
2018-12-310.890.890.1921.06%21.50%0.5359.41%59.08%0.1718.68%18.58%0.010.85%0.84%
2018-09-301.100.970.6148.54%54.88%0.2323.64%20.72%0.1616.95%14.86%0.010.54%0.48%
2018-06-300.980.970.6161.65%61.84%0.2526.02%25.89%0.1211.89%11.83%0.000.44%0.44%
2018-03-311.101.090.5549.70%50.10%0.4440.17%39.85%0.109.35%9.28%0.010.78%0.77%
2017-12-311.391.380.3021.35%21.85%0.7352.91%52.57%0.010.72%0.72%0.011.08%1.07%
2017-09-301.711.690.4927.74%28.42%1.0058.95%58.40%0.031.71%1.69%0.021.32%1.31%
2017-06-302.032.010.6732.21%32.85%0.8642.64%42.23%0.083.94%3.90%0.031.36%1.36%
2017-03-316.226.110.9714.07%15.65%3.5157.42%56.37%0.020.29%0.28%0.122.03%1.99%
2016-12-316.686.660.7911.58%11.88%3.7456.19%56.00%0.020.27%0.27%0.142.08%2.07%
2016-09-3010.1610.140.363.58%3.58%9.3692.12%92.13%0.232.25%2.24%0.212.05%2.05%
2016-06-305.115.090.325.99%6.35%3.9276.97%76.68%0.071.34%1.33%0.101.94%1.94%
2016-03-3111.119.800.222.22%1.96%6.8556.51%61.66%0.171.75%1.55%0.121.24%1.09%
2015-12-3121.8920.460.492.38%2.22%10.0642.14%45.93%1.617.85%7.34%1.668.11%7.58%