万家家瑞债券A

(004571)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(%)
2026-06-3035.6532.605.156.45%14.45%30.0092.02%84.15%0.270.82%0.75%0.230.71%0.65%
2026-03-311.221.200.1611.79%12.96%1.0587.18%86.03%0.010.88%0.87%0.000.15%0.14%
2025-12-310.850.790.149.71%16.20%0.6886.90%80.65%0.011.19%1.10%0.021.95%1.81%
2025-09-300.610.570.1214.98%20.37%0.4884.24%78.89%0.000.70%0.66%0.000.08%0.08%
2025-06-300.520.520.0917.00%17.60%0.4281.62%81.02%0.000.83%0.83%0.000.55%0.55%
2025-03-310.580.510.0816.43%14.42%0.4981.72%83.95%0.011.80%1.58%0.000.05%0.05%
2024-12-310.090.080.0116.00%14.31%0.0776.03%78.56%0.001.13%1.01%0.016.84%6.12%
2024-09-302.302.030.396.20%17.04%1.8791.95%81.32%0.041.82%1.61%0.000.03%0.03%
2024-06-304.634.020.8019.82%17.18%3.6976.46%79.59%0.122.97%2.58%0.030.75%0.65%
2024-03-3111.239.491.7518.44%15.58%9.3780.45%83.47%0.101.09%0.92%0.000.02%0.03%
2023-12-3124.0120.453.8018.58%15.83%18.6673.84%77.72%0.311.53%1.30%0.200.96%0.82%
2023-09-3024.1622.424.2611.25%17.64%19.4886.89%80.63%0.421.85%1.72%0.000.01%0.01%
2023-06-3015.8314.352.919.93%18.37%12.2785.53%77.52%0.231.60%1.45%0.422.94%2.66%
2023-03-3110.649.191.7919.43%16.78%8.6678.42%81.37%0.101.04%0.90%0.101.11%0.95%
2022-12-315.995.290.9417.79%15.70%4.3569.02%72.66%0.101.97%1.74%0.5911.22%9.90%
2022-09-304.534.300.649.53%14.08%3.7587.15%82.76%0.020.40%0.38%0.030.60%0.57%
2022-06-304.304.120.6511.61%15.24%3.3982.30%78.92%0.030.73%0.70%0.071.67%1.60%
2022-03-314.463.980.756.79%16.78%3.6892.45%82.54%0.020.44%0.39%0.000.02%0.02%
2021-12-313.393.090.568.53%16.66%2.6284.86%77.31%0.020.77%0.70%0.041.30%1.20%
2021-09-304.464.400.5310.51%11.76%3.6783.45%82.28%0.163.55%3.50%0.071.60%1.59%
2021-06-3010.698.941.0011.17%9.33%9.1883.14%85.91%0.353.90%3.26%0.161.79%1.50%
2021-03-3111.829.171.0010.95%8.50%10.0881.05%85.29%0.212.34%1.81%0.505.40%4.20%
2020-12-318.786.991.2317.62%14.02%6.8772.71%78.29%0.486.88%5.47%0.111.64%1.31%
2020-09-306.455.700.7012.27%10.83%5.6385.57%87.25%0.050.89%0.79%0.071.27%1.13%
2020-06-304.153.940.7012.33%16.77%3.3885.74%81.39%0.020.40%0.38%0.051.28%1.22%
2020-03-314.003.950.285.96%7.10%3.5288.97%87.89%0.082.07%2.05%0.102.49%2.46%
2019-12-312.492.110.3717.67%14.95%1.8469.18%73.92%0.209.41%7.96%0.083.74%3.17%
2019-09-300.500.500.047.98%8.27%0.4385.14%84.88%0.023.88%3.86%0.023.00%2.99%
2019-06-300.580.510.0917.80%15.64%0.4778.17%80.82%0.012.47%2.17%0.011.56%1.37%
2019-03-310.480.470.0510.11%10.89%0.4085.16%84.42%0.012.49%2.47%0.012.24%2.22%
2018-12-310.550.480.0917.94%15.74%0.4578.82%81.42%0.000.50%0.44%0.012.74%2.40%
2018-09-300.760.580.1118.56%14.07%0.6275.26%81.24%0.011.14%0.87%0.035.04%3.82%
2018-06-300.950.700.1317.80%13.14%0.7367.82%76.23%0.0912.11%8.95%0.022.27%1.68%
2018-03-311.280.930.1515.54%11.33%1.0980.11%85.50%0.021.93%1.41%0.022.42%1.76%
2017-12-311.351.350.2014.30%14.81%1.0376.44%75.98%0.010.60%0.60%0.021.23%1.23%