富国泰享回报6个月持有混合A

(012010)公募混合型
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(%)
2026-03-312.021.870.178.86%8.24%1.4469.52%71.66%0.137.03%6.54%0.147.28%6.76%
2025-12-312.482.150.5811.52%23.35%1.7882.64%71.60%0.094.09%3.54%0.031.33%1.15%
2025-09-302.662.420.448.26%16.61%2.1488.65%80.58%0.062.63%2.39%0.010.46%0.42%
2025-06-302.382.360.4919.68%20.62%1.7775.14%74.26%0.124.92%4.86%0.010.26%0.26%
2025-03-312.112.020.5522.91%26.07%1.4672.37%69.40%0.094.61%4.42%0.000.11%0.11%
2024-12-312.152.140.6328.76%29.33%1.4367.06%66.53%0.062.96%2.93%0.021.03%1.02%
2024-09-302.922.680.8021.14%27.40%1.9171.28%65.61%0.103.78%3.48%0.072.50%2.31%
2024-06-303.142.730.7412.03%23.63%2.2180.95%70.27%0.176.35%5.52%0.010.52%0.45%
2024-03-313.633.060.817.67%22.28%2.6486.22%72.57%0.124.08%3.44%0.051.64%1.38%
2023-12-314.443.521.0630.07%23.86%3.2165.04%72.25%0.164.64%3.69%0.010.25%0.20%
2023-09-304.104.051.2329.13%29.97%2.7768.34%67.53%0.092.20%2.17%0.010.33%0.33%
2023-06-304.854.701.4026.53%28.82%3.2569.05%66.90%0.142.94%2.85%0.010.31%0.30%
2023-03-315.244.941.3821.83%26.38%3.5371.40%67.25%0.295.82%5.48%0.040.75%0.70%
2022-12-316.085.441.6218.01%26.65%4.1476.23%68.19%0.132.45%2.19%0.101.84%1.65%
2022-09-306.656.441.9226.62%28.85%4.2866.42%64.41%0.071.05%1.01%0.203.04%2.95%
2022-06-308.748.572.5627.88%29.28%5.8167.78%66.46%0.131.55%1.52%0.141.68%1.65%
2022-03-3110.229.292.7819.91%27.19%7.1076.44%69.49%0.282.97%2.70%0.060.68%0.62%
2021-12-3118.7016.294.5613.24%24.41%12.8778.99%68.82%0.402.48%2.16%0.814.98%4.34%
2021-09-3022.0021.425.2021.57%23.61%13.6963.88%62.21%0.582.71%2.64%0.552.55%2.49%