嘉实对冲套利定期混合C

(014112)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(%)
2026-03-310.160.160.0746.06%45.73%0.000.84%0.84%0.0847.80%47.46%0.015.30%5.97%
2025-12-310.210.210.0942.33%42.28%0.000.66%0.66%0.1151.49%51.42%0.015.52%5.64%
2025-09-300.220.220.1149.49%49.28%0.000.64%0.64%0.1044.72%44.52%0.015.15%5.56%
2025-06-300.220.220.1046.07%46.58%0.000.65%0.65%0.1148.04%47.58%0.015.24%5.19%
2025-03-310.230.230.1146.92%46.85%0.000.60%0.60%0.1146.42%46.35%0.016.06%6.20%
2024-12-310.230.230.1042.85%42.78%0.000.58%0.58%0.1251.12%51.03%0.015.45%5.61%
2024-09-300.240.240.1459.33%59.07%0.000.54%0.54%0.0832.83%32.69%0.027.30%7.70%
2024-06-300.260.260.1452.55%52.10%0.001.79%1.78%0.1039.92%39.58%0.025.74%6.54%
2024-03-310.300.300.1858.67%58.38%0.001.54%1.53%0.1033.58%33.41%0.026.21%6.68%
2023-12-310.560.550.3360.13%59.38%0.000.84%0.83%0.1833.50%33.08%0.045.53%6.71%
2023-09-300.590.590.3559.28%58.94%0.000.82%0.81%0.1932.99%32.80%0.046.91%7.45%
2023-06-301.051.040.6057.63%56.94%0.000.47%0.46%0.3836.41%35.97%0.075.49%6.63%
2023-03-311.711.701.0662.12%61.91%0.000.29%0.29%0.5029.49%29.39%0.148.10%8.41%
2022-12-312.282.271.2856.52%56.32%0.114.73%4.71%0.7432.70%32.58%0.156.05%6.39%
2022-09-304.884.851.7635.74%36.15%0.316.30%6.26%2.6053.59%53.25%0.214.37%4.34%
2022-06-308.037.924.4154.24%54.88%0.313.85%3.80%2.8335.72%35.22%0.496.19%6.10%
2022-03-3112.1412.106.0349.49%49.66%0.302.50%2.50%2.6822.16%22.08%0.635.18%5.17%
2021-12-3114.3814.206.8647.10%47.72%0.362.52%2.49%3.4824.53%24.24%0.674.73%4.68%