金鹰鑫益混合C

(003485)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(%)
2026-06-300.250.230.1459.96%55.18%0.0731.08%28.60%0.013.11%2.86%0.035.85%13.36%
2026-03-310.450.370.2853.75%61.93%0.0718.75%15.43%0.013.67%3.02%0.037.91%6.51%
2025-12-311.421.140.075.98%4.80%1.0164.45%71.49%0.010.92%0.74%0.075.79%4.64%
2025-09-301.421.360.145.80%9.56%1.0375.33%72.33%0.042.64%2.53%0.031.90%1.82%
2025-06-302.992.410.239.38%7.56%2.6284.74%87.70%0.051.87%1.51%0.083.51%2.83%
2025-03-313.032.630.2810.73%9.30%2.5682.16%84.53%0.041.56%1.36%0.114.03%3.49%
2024-12-313.622.900.3110.56%8.46%2.9777.55%82.01%0.041.52%1.22%0.103.47%2.78%
2024-09-304.443.460.185.23%4.08%3.9285.10%88.37%0.133.86%3.01%0.000.03%0.03%
2024-06-302.361.760.116.38%4.76%2.0582.25%86.75%0.010.83%0.62%0.000.25%0.19%
2024-03-311.931.580.159.48%7.76%1.6884.26%87.11%0.042.41%1.97%0.010.69%0.57%
2023-12-312.321.840.189.84%7.80%1.9881.44%85.28%0.063.01%2.39%0.031.53%1.21%
2023-09-302.702.180.219.81%7.90%2.3081.59%85.16%0.073.22%2.60%0.125.38%4.34%
2023-06-303.943.390.319.07%7.79%3.4886.41%88.33%0.061.84%1.58%0.020.67%0.57%
2023-03-314.763.720.359.31%7.27%4.1282.86%86.61%0.102.71%2.12%0.061.62%1.27%
2022-12-315.004.260.429.89%8.42%4.4687.27%89.16%0.122.80%2.39%0.000.04%0.03%
2022-09-305.974.930.438.63%7.13%5.2585.52%88.03%0.081.59%1.32%0.214.26%3.52%
2022-06-305.604.580.4610.05%8.21%4.7781.82%85.13%0.132.87%2.35%0.071.44%1.18%
2022-03-317.266.210.619.83%8.41%6.1882.64%85.15%0.274.39%3.76%0.030.40%0.34%
2021-12-317.345.940.599.99%8.09%5.9576.58%81.04%0.183.09%2.50%0.233.94%3.19%
2021-09-307.156.260.619.69%8.47%5.7777.91%80.66%0.223.53%3.09%0.264.08%3.58%
2021-06-305.074.220.429.84%8.19%4.2781.24%84.37%0.071.65%1.38%0.276.32%5.27%
2021-03-313.142.620.3212.08%10.09%2.7083.19%85.95%0.031.15%0.96%0.093.58%3.00%
2020-12-312.862.790.287.41%9.67%2.3784.72%82.65%0.103.56%3.47%0.124.31%4.21%
2020-09-302.742.590.259.58%9.06%2.1175.81%77.12%0.166.05%5.72%0.072.77%2.62%
2020-06-302.692.630.246.93%9.03%2.3689.70%87.67%0.031.13%1.10%0.062.24%2.20%
2020-03-313.343.220.305.64%8.86%2.7685.50%82.58%0.041.38%1.33%0.144.38%4.23%
2019-12-316.315.700.569.76%8.81%5.4584.89%86.35%0.203.52%3.18%0.101.83%1.66%
2019-09-308.047.870.716.86%8.82%6.1778.39%76.74%0.131.63%1.60%0.151.93%1.89%
2019-06-303.703.060.020.75%0.62%3.5494.70%95.61%0.041.32%1.09%0.103.23%2.68%
2019-03-310.140.130.0538.18%34.48%0.0538.24%34.53%0.019.86%8.91%0.025.72%14.86%
2018-12-310.190.180.0518.15%25.04%0.1480.04%73.30%0.001.19%1.09%0.000.62%0.57%
2018-09-300.260.230.055.45%17.42%0.2192.83%81.08%0.000.71%0.62%0.001.01%0.88%
2018-06-300.540.520.000.73%0.70%0.5194.36%94.60%0.011.01%0.97%0.023.90%3.73%
2018-03-310.250.240.000.00%0.00%0.2496.93%97.06%0.001.70%1.63%0.001.37%1.31%
2017-12-310.400.390.000.00%0.00%0.2253.88%55.01%0.024.12%4.02%0.013.78%3.69%
2017-09-301.020.900.022.47%2.19%0.9693.23%94.00%0.021.79%1.59%0.022.51%2.22%
2017-06-303.232.700.6022.38%18.69%2.0154.94%62.36%0.010.36%0.30%0.041.36%1.14%
2017-03-314.023.040.6019.83%14.99%2.6153.61%64.94%0.020.70%0.53%0.020.80%0.60%
2016-12-310.002.090.000.00%0.00%0.000.00%0.00%0.000.00%0.00%0.000.00%0.00%