华宸未来基金管理有限公司

Mirae Asset Management Co., Ltd.

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资产配置

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资产配置明细(全部

报告期 详情 股票占净比 债券占净比 现金占净比 净资产(亿元)
2025-12-31 详情 5.38% 0.00% 0.49% 0.45
2025-09-30 详情 2.18% 0.00% 0.93% 1.95
2025-06-30 详情 1.91% 0.00% 0.19% 2.56
2025-03-31 详情 1.41% 0.00% 0.15% 3.70
2024-12-31 详情 0.84% 0.28% 0.18% 6.43
2024-09-30 详情 0.74% 0.20% 0.11% 8.77
2024-06-30 详情 1.12% 0.23% 0.20% 8.61
2024-03-31 详情 0.96% 0.39% 0.16% 13.18
2023-12-31 详情 1.13% 0.28% 0.13% 12.70
2023-09-30 详情 18.09% 2.82% 1.31% 1.47
2023-06-30 详情 50.79% 10.17% 10.21% 0.60
2023-03-31 详情 48.71% 11.18% 8.34% 0.83
2022-12-31 详情 16.73% 13.29% 5.19% 1.49
2022-09-30 详情 24.32% 28.97% 7.35% 1.01
2022-06-30 详情 18.17% 35.67% 8.22% 1.35
2022-03-31 详情 13.33% 40.46% 8.05% 1.31
2021-12-31 详情 4.31% 0.14% 0.57% 4.96
2021-09-30 详情 29.33% 0.89% 2.21% 0.76
2021-06-30 详情 12.70% 0.43% 2.81% 1.61
2021-03-31 详情 18.81% 0.12% 4.26% 1.12
2020-12-31 详情 20.26% 0.52% 1.51% 1.55
2020-09-30 详情 34.79% 0.84% 2.22% 0.95
2020-06-30 详情 32.56% 0.80% 2.58% 1.01
2020-03-31 详情 12.35% 0.00% 12.38% 1.31
2019-12-31 详情 0.00% 81.56% 20.87% 1.48
2019-09-30 详情 0.00% 90.78% 7.95% 0.71
2019-06-30 详情 0.00% 81.29% 4.77% 1.30
2019-03-31 详情 0.00% 96.70% 4.39% 0.37
2018-12-31 详情 0.00% 93.08% 6.42% 0.29
2018-09-30 详情 0.00% 88.87% 8.94% 0.13
2018-06-30 详情 0.00% 82.40% 13.24% 0.14
2018-03-31 详情 0.00% 83.36% 11.55% 0.15
2017-12-31 详情 0.00% 81.41% 20.18% 0.15
2017-09-30 详情 0.00% 83.68% 17.21% 0.17
2017-06-30 详情 0.00% 83.27% 12.62% 0.18
2017-03-31 详情 0.00% 85.64% 8.30% 0.17
2016-12-31 详情 0.00% 84.28% 9.19% 0.18
2016-09-30 详情 0.00% 80.82% 19.15% 0.18
2016-06-30 详情 0.00% 84.65% 8.16% 0.18
2016-03-31 详情 43.45% 0.00% 3.74% 0.34
2015-12-31 详情 43.95% 0.00% 4.41% 0.37
2015-09-30 详情 41.30% 0.00% 3.84% 0.36
2015-06-30 详情 47.70% 0.00% 3.02% 0.44
2015-03-31 详情 44.95% 0.00% 3.18% 0.50
2014-12-31 详情 41.41% 0.00% 2.90% 0.62
2014-09-30 详情 40.76% 0.00% 3.43% 0.68
2014-06-30 详情 24.04% 0.00% 2.03% 1.18
2014-03-31 详情 21.95% 0.00% 2.02% 1.41
2013-12-31 详情 21.14% 0.00% 1.47% 1.67
2013-09-30 详情 79.62% 0.00% 9.55% 0.42
2013-06-30 详情 40.27% 0.00% 17.13% 0.47