天弘多元收益债券C

(010119)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(%)
2026-06-30113.1289.6617.7319.78%15.67%85.8569.59%75.89%0.420.47%0.38%3.594.01%3.18%
2026-03-31107.9796.8819.328.50%17.90%84.6487.37%78.40%1.041.07%0.96%1.711.77%1.58%
2025-12-3162.9258.6611.7112.71%18.61%48.8083.18%77.55%0.560.96%0.89%1.322.25%2.11%
2025-09-3039.2031.656.3219.96%16.11%30.5272.58%77.87%2.196.91%5.58%0.120.38%0.30%
2025-06-3028.0124.234.8419.97%17.27%22.9579.13%81.94%0.150.61%0.53%0.070.27%0.24%
2025-03-3129.5725.115.0119.96%16.95%24.0778.11%81.41%0.200.79%0.67%0.281.13%0.96%
2024-12-3135.5130.076.0019.95%16.90%28.8777.91%81.30%0.200.66%0.56%0.441.46%1.23%
2024-09-3047.9940.658.1019.94%16.89%38.0075.41%79.17%0.581.41%1.20%1.323.24%2.74%
2024-06-3056.6846.439.2719.97%16.36%45.7976.55%80.79%1.563.35%2.74%0.010.02%0.02%
2024-03-3164.3451.3410.4520.36%16.24%53.3578.60%82.92%0.310.61%0.48%0.200.38%0.32%
2023-12-3193.6977.9515.5920.00%16.64%75.1076.14%80.16%2.192.82%2.34%0.811.04%0.86%
2023-09-30104.0387.1817.4319.99%16.75%82.0774.81%78.89%3.584.11%3.44%0.010.01%0.02%
2023-06-3074.1160.9312.1819.99%16.44%61.0878.62%82.42%0.721.18%0.97%0.030.05%0.04%
2023-03-3164.1052.7710.0819.11%15.72%51.6776.44%80.61%0.661.25%1.03%0.320.60%0.50%
2022-12-3159.6551.0410.1319.85%16.98%47.3675.91%79.39%1.653.23%2.76%0.020.03%0.03%
2022-09-3063.5753.9710.7019.83%16.84%49.4573.84%77.78%0.801.48%1.26%0.180.33%0.28%
2022-06-3047.9940.728.1019.90%16.88%34.1165.91%71.09%0.731.79%1.52%4.079.99%8.47%
2022-03-3152.7044.188.8019.91%16.69%37.4865.54%71.12%0.701.59%1.33%4.329.79%8.20%
2021-12-3143.0135.937.1319.85%16.58%31.8869.02%74.12%0.361.01%0.85%0.441.21%1.01%
2021-09-3014.8512.082.4119.92%16.20%11.0968.91%74.71%1.2510.31%8.39%0.100.86%0.70%
2021-06-304.503.470.6919.90%15.35%3.6675.77%81.31%0.061.83%1.41%0.092.50%1.93%
2021-03-312.912.130.4219.59%14.30%2.1162.51%72.62%0.2511.63%8.50%0.136.27%4.58%
2020-12-314.122.970.5719.08%13.74%3.4075.98%82.70%0.113.80%2.74%0.031.14%0.82%