摩根安通回报混合C

(004362)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(%)
2026-06-300.290.280.0825.03%26.05%0.1034.29%33.82%0.1140.35%39.80%0.000.33%0.33%
2026-03-310.260.260.0829.74%29.56%0.0934.67%34.46%0.0310.06%10.00%0.0725.53%25.98%
2025-12-310.260.260.0727.74%28.15%0.1037.55%37.34%0.0311.11%11.05%0.000.66%0.65%
2025-09-300.400.390.1024.37%23.90%0.2050.22%49.26%0.038.57%8.40%0.0716.84%18.44%
2025-06-300.200.200.0419.53%21.74%0.0944.39%43.18%0.029.32%9.06%0.001.62%1.57%
2025-03-310.250.250.0517.02%18.65%0.0623.10%22.64%0.0518.84%18.48%0.001.82%1.78%
2024-12-310.120.120.0321.12%21.49%0.0541.86%41.66%0.0215.37%15.30%0.000.11%0.11%
2024-09-300.150.150.0320.74%22.59%0.0533.10%32.33%0.0212.10%11.82%0.014.26%4.16%
2024-06-300.200.190.0412.24%17.85%0.0315.93%14.91%0.0632.16%30.10%0.000.11%0.11%
2024-03-310.180.130.0216.22%11.93%0.0432.98%24.27%0.0612.23%35.42%0.000.15%0.11%
2023-12-310.520.510.000.00%0.00%0.2240.61%41.77%0.1019.30%18.92%0.000.25%0.25%
2023-09-300.240.220.0621.73%26.14%0.1149.90%47.09%0.014.95%4.67%0.000.06%0.06%
2023-06-300.280.280.0725.81%26.54%0.1242.37%41.95%0.0829.47%29.18%0.012.35%2.33%
2023-03-310.360.350.0718.26%19.89%0.1336.54%35.81%0.1543.69%42.82%0.011.51%1.48%
2022-12-310.500.460.087.93%15.13%0.1941.91%38.63%0.2349.96%46.05%0.000.20%0.19%
2022-09-300.510.500.0915.80%17.68%0.1632.63%31.90%0.0611.79%11.52%0.000.03%0.04%
2022-06-300.700.590.1220.53%17.31%0.2727.53%38.88%0.047.30%6.16%0.0712.45%10.50%
2022-03-310.660.650.0912.08%13.04%0.3046.83%46.32%0.022.43%2.40%0.000.23%0.23%
2021-12-310.080.080.0110.05%12.16%0.0117.64%17.22%0.0332.46%31.70%0.000.26%0.25%
2021-09-300.080.080.0117.07%16.55%0.0336.27%35.15%0.0111.76%11.40%0.0222.64%25.01%
2021-06-301.211.000.2929.45%24.31%0.4545.43%37.49%0.044.43%3.65%0.3210.69%26.29%
2021-03-312.542.490.247.46%9.30%0.8233.02%32.36%0.4518.07%17.71%0.041.43%1.41%
2020-12-315.193.971.1729.51%22.59%3.6761.77%70.73%0.143.53%2.70%0.215.19%3.98%
2020-09-307.166.671.6517.53%23.11%4.8873.17%68.22%0.507.53%7.02%0.121.77%1.65%
2020-06-300.130.120.025.74%12.40%0.0978.47%72.93%0.0214.42%13.40%0.001.37%1.27%
2020-03-310.180.130.0429.95%22.23%0.1363.71%73.06%0.002.02%1.50%0.014.32%3.21%
2019-12-310.230.180.0529.05%22.51%0.1767.35%74.69%0.001.85%1.44%0.001.75%1.36%
2019-09-300.330.240.0727.83%20.15%0.2667.59%76.53%0.013.09%2.24%0.001.49%1.08%
2019-06-300.350.270.0725.03%19.23%0.2668.64%75.90%0.014.93%3.79%0.001.40%1.08%
2019-03-310.450.320.0619.82%13.99%0.3464.00%74.59%0.013.51%2.48%0.0412.67%8.94%
2018-12-310.450.380.000.52%0.44%0.4292.45%93.49%0.001.09%0.94%0.025.94%5.13%
2018-09-300.510.510.047.40%7.84%0.4486.84%86.42%0.024.06%4.04%0.011.70%1.70%
2018-06-300.570.500.0612.77%11.03%0.4676.31%79.52%0.011.25%1.08%0.059.67%8.37%
2018-03-310.720.710.1214.63%16.16%0.3448.07%47.20%0.2636.44%35.79%0.010.86%0.85%
2017-12-311.041.020.2120.52%20.13%0.4241.27%40.49%0.2827.38%26.86%0.1310.83%12.52%
2017-09-302.312.270.6828.29%29.56%1.3157.75%56.72%0.177.38%7.25%0.156.58%6.47%
2017-06-303.473.440.8423.80%24.31%2.1863.22%62.80%0.216.11%6.07%0.010.33%0.33%