国泰君安君得益三个月持有混合(FOF)C

(952313)公募基金篮子型FOF
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(%)
2026-06-307.116.710.000.00%0.00%0.000.00%0.00%0.436.38%6.02%0.466.79%6.42%
2026-03-319.899.370.000.00%0.00%0.000.00%0.00%1.237.58%12.48%0.151.63%1.54%
2025-12-3111.0411.000.000.00%0.00%0.000.00%0.00%0.705.93%6.31%0.383.45%3.44%
2025-09-3011.2811.130.000.00%0.00%0.000.00%0.00%1.027.85%9.09%0.050.49%0.48%
2025-06-3010.2010.130.000.00%0.00%0.000.00%0.00%0.726.46%7.06%0.100.99%0.98%
2025-03-3110.3810.340.000.00%0.00%0.000.00%0.00%0.837.70%8.02%0.000.04%0.04%
2024-12-3110.4410.390.000.00%0.00%0.000.00%0.00%0.756.75%7.23%0.000.01%0.01%
2024-09-3011.3911.360.000.00%0.00%0.000.00%0.00%0.695.81%6.08%0.000.04%0.04%
2024-06-3010.7110.680.000.00%0.00%0.000.00%0.00%0.786.95%7.25%0.121.10%1.10%
2024-03-3111.2211.190.000.00%0.00%0.000.00%0.00%1.3211.52%11.75%0.000.02%0.02%
2023-12-3112.0812.040.000.00%0.00%0.242.00%1.99%1.108.81%9.12%0.090.76%0.76%
2023-09-3013.5713.530.000.00%0.00%0.654.82%4.80%0.372.74%2.73%0.070.52%0.52%
2023-06-3015.3515.290.000.00%0.00%0.654.24%4.23%0.473.05%3.04%0.100.68%0.67%
2023-03-3116.9416.750.000.00%0.00%0.643.85%3.81%0.613.65%3.61%0.000.01%0.01%
2022-12-3116.9316.900.000.00%0.00%0.000.00%0.00%1.176.75%6.91%0.382.23%2.23%
2022-09-3017.4417.400.000.00%0.00%0.000.00%0.00%1.417.89%8.10%0.201.16%1.16%
2022-06-3020.8120.670.000.00%0.00%0.000.00%0.00%2.4010.92%11.52%0.602.89%2.87%
2022-03-3121.4521.390.000.00%0.00%0.000.00%0.00%2.2610.30%10.54%0.000.00%0.01%
2021-12-3127.6427.380.000.00%0.00%0.000.00%0.00%1.555.65%5.59%0.010.04%0.04%
2021-09-3036.5536.230.000.00%0.00%0.000.00%0.00%1.935.34%5.29%0.010.04%0.04%
2021-06-3072.5870.130.000.00%0.00%1.992.84%2.75%2.683.82%3.69%0.630.90%0.87%
2021-03-3170.7470.660.000.00%0.00%0.000.00%0.00%6.989.76%9.87%0.010.02%0.02%