安信新优选混合C

(003029)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(%)
2026-06-300.140.130.0215.40%16.27%0.0967.81%67.11%0.013.98%3.94%0.000.88%0.87%
2026-03-310.170.160.0315.63%15.82%0.0850.42%50.31%0.014.32%4.31%0.000.22%0.22%
2025-12-310.200.200.0417.28%18.09%0.0841.97%41.56%0.014.69%4.65%0.000.74%0.73%
2025-09-300.310.300.0515.09%16.91%0.1651.50%50.39%0.013.92%3.83%0.011.66%1.64%
2025-06-300.510.500.0814.47%15.30%0.3672.62%71.90%0.012.98%2.95%0.000.55%0.56%
2025-03-310.550.510.076.09%12.56%0.1936.12%33.63%0.1019.03%17.72%0.000.13%0.12%
2024-12-310.510.510.0714.06%14.59%0.3059.25%58.88%0.012.46%2.45%0.000.46%0.45%
2024-09-300.650.630.1926.83%28.95%0.1219.07%18.52%0.0914.22%13.81%0.012.36%2.29%
2024-06-304.153.340.8926.72%21.48%2.9062.44%69.80%0.3510.36%8.33%0.000.14%0.12%
2024-03-314.293.931.0016.22%23.31%2.9274.36%68.07%0.153.75%3.43%0.071.89%1.73%
2023-12-314.103.751.0619.09%25.86%2.9678.92%72.31%0.020.56%0.52%0.030.71%0.65%
2023-09-304.773.831.0527.44%22.03%3.3863.78%70.91%0.030.83%0.67%0.102.70%2.17%
2023-06-304.753.781.0728.30%22.50%3.5467.99%74.55%0.030.80%0.63%0.102.70%2.15%
2023-03-313.743.711.1028.84%29.41%2.0154.04%53.61%0.4411.72%11.63%0.020.67%0.66%
2022-12-313.663.651.1932.35%32.43%2.0957.27%57.20%0.082.12%2.12%0.000.04%0.04%
2022-09-303.673.671.2233.06%33.19%2.1157.67%57.55%0.113.00%2.99%0.010.16%0.17%
2022-06-303.833.821.3434.82%34.97%2.0252.84%52.72%0.112.97%2.97%0.082.15%2.14%
2022-03-314.193.781.3023.81%31.14%1.9651.80%46.81%0.5213.81%12.48%0.000.01%0.01%
2021-12-313.943.841.3031.21%33.04%2.3160.24%58.63%0.194.98%4.85%0.040.97%0.94%
2021-09-303.773.771.3034.28%34.37%2.2258.83%58.74%0.123.06%3.06%0.041.18%1.18%
2021-06-303.783.771.2633.09%33.29%2.2459.49%59.31%0.092.45%2.44%0.194.97%4.96%
2021-03-313.903.701.2829.05%32.76%1.8449.92%47.30%0.308.12%7.70%0.030.74%0.70%
2020-12-313.523.511.2936.44%36.54%2.0558.34%58.24%0.092.70%2.69%0.041.10%1.11%
2020-09-303.313.301.2336.95%37.18%1.6449.78%49.60%0.123.49%3.48%0.123.71%3.70%
2020-06-303.053.040.8026.16%26.34%1.3745.14%45.03%0.134.37%4.36%0.041.29%1.29%
2020-03-313.182.980.7417.91%23.19%1.2542.10%39.39%0.3612.18%11.39%0.030.95%0.90%
2019-12-313.243.220.7723.25%23.65%2.3271.96%71.58%0.031.07%1.07%0.061.89%1.88%
2019-09-303.673.660.7419.94%20.13%2.7073.63%73.45%0.184.90%4.89%0.061.53%1.53%
2019-06-303.513.410.8020.49%22.85%2.3669.28%67.22%0.164.81%4.67%0.082.48%2.41%
2019-03-313.113.110.7222.96%23.04%1.5850.72%50.67%0.082.47%2.47%0.041.34%1.34%
2018-12-313.052.930.6116.67%20.07%1.8763.94%61.33%0.082.67%2.57%0.020.84%0.80%
2018-09-302.962.960.6421.38%21.52%2.0669.61%69.49%0.082.63%2.62%0.041.31%1.31%
2018-06-303.062.940.6116.59%19.85%2.3579.81%76.69%0.062.21%2.12%0.041.39%1.34%
2018-03-312.942.930.6220.84%20.96%2.2275.53%75.43%0.062.15%2.14%0.041.48%1.47%
2017-12-312.902.900.6823.33%23.46%1.7961.78%61.67%0.113.69%3.69%0.030.87%0.87%
2017-09-304.344.330.8118.54%18.66%2.9968.94%68.84%0.286.35%6.34%0.071.51%1.51%
2017-06-304.604.340.659.18%14.23%3.7185.40%80.65%0.153.44%3.25%0.091.98%1.87%
2017-03-314.334.130.6210.21%14.24%3.0874.46%71.12%0.255.95%5.68%0.051.15%1.10%
2016-12-319.958.010.647.96%6.41%8.6383.55%86.76%0.577.11%5.72%0.111.38%1.11%
2016-09-307.065.050.316.15%4.40%5.4367.74%76.91%1.2524.74%17.71%0.071.37%0.98%