平安鑫享混合C

(001610)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(%)
2026-06-3010.409.963.4430.14%33.11%4.1441.58%39.81%0.151.53%1.46%0.161.57%1.51%
2026-03-315.304.500.419.08%7.70%4.5683.58%86.08%0.204.42%3.74%0.132.92%2.48%
2025-12-316.545.690.8414.69%12.79%4.8570.25%74.10%0.498.55%7.44%0.010.19%0.17%
2025-09-307.856.521.3921.34%17.72%5.5364.49%70.51%0.477.25%6.02%0.010.17%0.14%
2025-06-307.545.990.7712.81%10.18%6.3980.83%84.77%0.325.32%4.22%0.061.04%0.83%
2025-03-313.983.910.285.20%7.07%3.1580.55%78.96%0.071.76%1.72%0.092.25%2.21%
2024-12-313.493.120.535.05%15.16%2.2472.03%64.36%0.165.15%4.60%0.020.75%0.68%
2024-09-305.214.380.6414.57%12.25%4.4281.87%84.75%0.081.92%1.62%0.071.64%1.38%
2024-06-307.035.031.2324.55%17.57%5.1662.75%73.35%0.6312.53%8.96%0.010.17%0.12%
2024-03-314.544.260.327.45%6.99%2.3749.02%52.17%0.235.32%4.99%0.051.08%1.01%
2023-12-312.282.060.199.44%8.53%1.5363.68%67.17%0.2311.23%10.15%0.021.07%0.97%
2023-09-300.700.680.057.38%7.17%0.5070.33%71.17%0.068.81%8.56%0.011.51%1.47%
2023-06-300.620.520.0611.42%9.44%0.5279.35%82.92%0.048.44%6.98%0.000.79%0.66%
2023-03-310.600.510.058.88%7.53%0.5182.73%85.35%0.048.26%7.01%0.000.13%0.11%
2022-12-310.480.470.0611.25%12.90%0.3574.15%72.77%0.0714.43%14.16%0.000.17%0.17%
2022-09-300.500.490.0916.19%17.94%0.1939.27%38.45%0.0511.29%11.05%0.012.38%2.33%
2022-06-300.840.790.1715.48%19.79%0.2733.72%32.00%0.1012.94%12.28%0.000.11%0.11%
2022-03-313.963.761.3129.38%33.07%2.5266.98%63.48%0.143.64%3.45%0.000.00%0.00%
2021-12-314.474.471.4231.66%31.76%2.6158.36%58.27%0.419.21%9.20%0.030.77%0.77%
2021-09-305.325.261.3724.91%25.75%3.5367.04%66.29%0.366.86%6.78%0.061.19%1.18%
2021-06-305.395.381.3224.46%24.59%3.8571.62%71.49%0.132.49%2.49%0.081.43%1.43%
2021-03-316.146.141.2920.85%20.97%4.4672.61%72.50%0.335.40%5.39%0.071.14%1.14%
2020-12-316.216.200.9915.70%15.90%4.6574.97%74.78%0.132.17%2.17%0.040.71%0.71%
2020-09-300.570.560.5087.58%87.71%0.047.07%7.00%0.034.94%4.89%0.000.41%0.40%
2020-06-300.620.600.068.03%10.25%0.5184.30%82.26%0.011.35%1.32%0.046.32%6.17%
2020-03-310.690.690.068.60%9.34%0.5783.33%82.66%0.046.49%6.43%0.011.58%1.57%
2019-12-313.543.220.8115.49%22.98%2.5980.37%73.24%0.072.29%2.09%0.061.85%1.69%
2019-09-305.123.700.7018.82%13.60%4.2576.43%82.97%0.092.35%1.69%0.092.40%1.74%
2019-06-303.513.190.608.92%17.21%2.6683.44%75.84%0.185.55%5.04%0.072.09%1.91%
2019-03-312.412.400.228.56%8.98%1.4158.73%58.46%0.145.68%5.65%0.041.87%1.87%
2018-12-312.122.060.5523.98%26.10%0.7938.23%37.17%0.3718.08%17.57%0.020.81%0.78%
2018-09-302.182.170.7936.12%36.33%0.4621.04%20.97%0.167.21%7.19%0.021.09%1.08%
2018-06-302.742.211.1528.06%41.88%1.5268.53%55.36%0.052.26%1.83%0.031.15%0.93%
2018-03-312.922.321.2729.09%43.60%1.5164.89%51.60%0.125.20%4.14%0.020.82%0.66%
2017-12-312.952.471.3133.56%44.35%1.5462.41%52.27%0.062.54%2.13%0.041.49%1.25%
2017-09-302.972.371.2728.25%42.72%1.4360.43%48.24%0.218.88%7.09%0.031.47%1.17%
2017-06-303.132.831.3336.59%42.68%1.6157.01%51.54%0.155.48%4.95%0.030.92%0.83%
2017-03-313.563.461.2131.94%33.86%2.1863.06%61.28%0.144.01%3.90%0.030.99%0.96%
2016-12-315.004.991.0220.27%20.40%3.4969.85%69.73%0.448.80%8.79%0.051.08%1.08%
2016-09-305.755.740.569.58%9.72%4.9686.40%86.26%0.193.30%3.30%0.040.72%0.72%
2016-06-3011.0611.040.252.23%2.23%8.2474.47%74.50%0.544.85%4.84%0.050.44%0.44%
2016-03-3111.0611.040.242.17%2.17%4.7342.69%42.79%0.171.52%1.51%0.111.00%1.00%
2015-12-3130.2630.210.321.06%1.05%0.411.35%1.35%11.7438.68%38.80%0.020.05%0.05%
2015-09-301.331.320.032.07%2.07%0.6045.03%45.24%0.4433.56%33.43%0.010.49%0.49%