中海合嘉增强收益债券C

(002966)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(%)
2026-06-302.332.220.3616.05%15.30%1.6172.42%69.04%0.020.96%0.92%0.3410.57%14.74%
2026-03-311.691.670.115.21%6.60%1.5794.00%92.63%0.000.26%0.25%0.010.53%0.52%
2025-12-311.641.490.1510.41%9.43%1.4788.62%89.69%0.010.90%0.81%0.000.07%0.07%
2025-09-302.182.130.146.48%6.31%1.9588.97%89.25%0.104.51%4.40%0.000.04%0.04%
2025-06-304.474.470.000.00%0.00%4.4599.54%99.54%0.020.46%0.46%0.000.00%0.00%
2025-03-314.994.480.000.00%0.00%4.3886.36%87.75%0.439.63%8.64%0.184.01%3.61%
2024-12-316.295.320.000.00%0.00%5.1077.69%81.12%0.9918.54%15.69%0.000.01%0.01%
2024-09-304.674.560.000.00%0.00%4.5497.30%97.35%0.061.33%1.31%0.061.37%1.34%
2024-06-306.716.630.000.00%0.00%6.5497.34%97.37%0.101.45%1.43%0.000.00%0.01%
2024-03-310.610.610.000.43%0.42%0.6098.60%98.61%0.000.44%0.44%0.000.53%0.53%
2023-12-310.570.560.011.17%1.16%0.5597.02%97.05%0.000.81%0.80%0.011.00%0.99%
2023-09-300.560.560.000.74%0.74%0.5598.61%98.61%0.000.11%0.11%0.000.54%0.54%
2023-06-300.550.550.000.00%0.00%0.5498.04%98.04%0.000.84%0.84%0.011.12%1.12%
2023-03-310.060.050.0114.51%17.37%0.0481.71%78.98%0.001.57%1.51%0.002.21%2.14%
2022-12-310.060.060.0112.55%13.54%0.0582.88%81.94%0.000.49%0.48%0.004.08%4.04%
2022-09-300.070.070.0112.85%13.54%0.0683.75%83.09%0.000.78%0.77%0.002.62%2.60%
2022-06-300.220.220.015.57%5.48%0.1882.43%82.70%0.001.51%1.48%0.012.31%2.28%
2022-03-310.110.110.0214.42%15.76%0.0982.54%81.25%0.002.07%2.04%0.000.97%0.95%
2021-12-310.130.120.0216.22%17.12%0.1079.99%79.13%0.001.71%1.69%0.002.08%2.06%
2021-09-300.090.090.0112.66%13.49%0.0783.23%82.44%0.000.57%0.57%0.003.54%3.50%
2021-06-300.080.080.0111.25%11.67%0.0680.75%80.37%0.016.49%6.46%0.001.51%1.50%
2021-03-310.080.080.018.20%9.09%0.0682.15%81.35%0.017.86%7.78%0.001.79%1.78%
2020-12-310.090.090.0212.02%18.08%0.0781.09%75.51%0.001.70%1.58%0.005.19%4.83%
2020-09-300.140.110.0217.43%14.19%0.1175.06%79.69%0.017.08%5.76%0.000.43%0.36%
2020-06-300.150.140.027.52%14.55%0.1183.85%77.47%0.002.68%2.48%0.015.95%5.50%
2020-03-310.200.190.0311.34%17.01%0.1583.07%77.76%0.014.57%4.27%0.001.02%0.96%
2019-12-310.280.280.0413.13%14.02%0.2381.25%80.41%0.014.41%4.37%0.001.21%1.20%
2019-09-300.330.330.039.35%9.54%0.2780.89%80.72%0.011.97%1.97%0.011.72%1.72%
2019-06-300.420.390.000.00%0.00%0.3479.03%80.25%0.037.57%7.13%0.024.54%4.27%
2019-03-310.460.440.0711.37%14.23%0.3680.24%77.65%0.024.44%4.29%0.023.95%3.83%
2018-12-310.480.470.0713.50%13.75%0.3983.20%82.96%0.000.61%0.61%0.012.69%2.68%
2018-09-300.550.540.0711.11%12.84%0.4786.00%84.33%0.000.72%0.70%0.012.17%2.13%
2018-06-300.690.620.0914.09%12.62%0.5882.72%84.52%0.000.41%0.37%0.022.78%2.49%
2018-03-310.890.880.1213.21%13.49%0.7483.15%82.88%0.000.45%0.45%0.021.83%1.83%
2017-12-311.651.510.138.80%8.02%1.4787.81%88.89%0.010.58%0.53%0.042.81%2.56%
2017-09-302.862.440.2610.83%9.25%2.5085.47%87.60%0.010.50%0.42%0.083.20%2.73%
2017-06-304.033.370.339.83%8.22%3.5385.09%87.53%0.020.48%0.40%0.164.60%3.85%
2017-03-318.376.950.547.79%6.46%7.6289.26%91.08%0.020.35%0.29%0.182.60%2.17%
2016-12-319.218.100.344.25%3.73%8.6292.67%93.56%0.040.44%0.39%0.212.64%2.32%