中海添瑞定开混合

(005252)公募混合型
1.0402 0.00%+0.0000
单位净值 [2024-08-23]
1.1522
累计净值 [2024-08-23]
1.0402 0.00%
净值估算 [---]
  • 最近一月:0.03%
  • 最近一季:0.34%
  • 最近半年:0.02%
  • 今年以来:-1.35%
  • 最近一年:-0.79%
  • 最近两年:-1.68%
  • 最近三年:3.23%
  • 成立以来:15.01%
  • 成立日期:2018-01-19
  • 基金经理:章俊
  • 产品类型:契约型开放式
  • 最新份额:0.06亿
  • 申购状态:不可申购
  • 最新规模:0.06亿元
  • 投资风格:稳健成长型
  • 管理公司:中海基金
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(%)
2024-06-300.060.060.000.00%0.00%0.000.00%0.00%0.0699.99%99.99%0.000.01%0.01%
2023-12-310.120.110.000.00%0.00%0.0652.73%55.23%0.017.46%7.06%0.000.01%0.01%
2023-06-300.170.160.000.00%0.00%0.0636.11%38.92%0.0424.91%23.81%0.000.01%0.01%
2022-12-311.231.120.000.00%0.00%0.2210.24%17.72%0.1513.27%12.16%0.000.01%0.01%
2022-06-301.561.240.000.00%0.00%0.118.69%6.90%0.5947.41%37.65%0.6223.90%39.57%
2021-12-310.060.050.000.00%0.00%0.0596.00%96.04%0.001.02%1.01%0.002.98%2.95%
2021-06-300.060.060.000.00%0.00%0.0578.33%78.48%0.000.64%0.63%0.002.23%2.22%
2020-12-310.070.070.000.00%0.00%0.0572.23%72.42%0.0225.76%25.58%0.002.01%2.00%
2020-06-300.120.110.000.00%0.00%0.1194.92%94.97%0.002.69%2.67%0.002.39%2.36%
2019-12-310.140.140.000.00%0.00%0.1177.85%77.94%0.0320.67%20.58%0.001.48%1.48%
2019-06-300.280.280.000.00%0.00%0.2070.39%70.48%0.0828.73%28.64%0.000.88%0.88%
2018-12-310.540.540.000.00%0.00%0.4583.44%83.17%0.000.32%0.32%0.035.37%5.67%
2018-06-302.782.650.000.00%0.00%0.316.81%11.06%2.4291.27%87.11%0.051.92%1.83%