泰信优质生活混合(290004)基金资产配置
发布时间:2025-09-02 17:02
配合资产配置,基金投资与储蓄相结合 #生活技巧# #理财投资建议# #基金理财技巧#
基金档案
基 金
基 金 基金经理 基金公司请输入基金代码、名称或简拼
单位净值(09-01): 0.7864 ( 3.71% )
交易状态:开放申购 开放赎回
购买手续费: 1.50% 0.15% 1折 费率详情>
成立日期:2006-12-15 基金经理: 吴秉韬 类型:混合型-偏股 管理人:泰信基金 资产规模: 1.57亿元 (截止至:2025-06-30)
截至2025-06-30,泰信优质生活混合 净资产规模1.57亿元,比上一期(2025-03-31)减少了3.84%,股票配置占比上期增加5.02%
资产配置明细 来源:基金定期报告 报告期股票占净比债券占净比现金占净比净资产(亿元)2025-06-3093.06%---12.33%1.572025-03-3188.04%---15.27%1.632024-12-3184.02%---13.60%1.722024-09-3066.75%---33.44%1.632024-06-3067.01%---7.61%1.602024-03-3175.92%---9.45%1.582023-12-3177.57%---23.77%1.702023-09-3067.14%---32.60%1.752023-06-3087.64%---10.25%2.132023-03-3189.11%---13.99%2.102022-12-3189.86%---10.42%1.972022-09-3076.57%---14.31%2.492022-06-3077.47%---19.88%2.822022-03-3188.39%---13.26%2.582021-12-3189.74%---9.90%4.082021-09-3090.97%---12.21%4.452021-06-3085.18%---15.14%5.252021-03-3187.44%---12.79%4.482020-12-3189.57%---9.42%4.932020-09-3081.71%---20.04%4.162020-06-3085.08%---8.37%4.312020-03-3176.88%---23.56%3.832019-12-3183.85%---16.43%3.962019-09-3087.49%---14.12%3.202019-06-3075.76%---25.14%3.162019-03-3166.69%---35.70%3.402018-12-3165.94%---34.46%2.712018-09-3077.89%---14.25%3.072018-06-3069.01%---32.00%3.152018-03-3169.73%---17.58%3.792017-12-3182.20%---13.76%4.542017-09-3083.28%---9.93%5.352017-06-3075.76%---9.37%6.522017-03-3173.29%1.50%24.18%6.662016-12-3166.02%---14.05%8.672016-09-3085.18%---15.19%8.392016-06-3087.33%---11.59%10.052016-03-3184.75%---16.84%10.852015-12-3181.53%---18.44%12.562015-09-3076.92%---23.45%10.472015-06-3082.63%---25.85%15.502015-03-3193.74%---8.46%15.192014-12-3191.33%---11.19%10.862014-09-3086.90%---13.84%10.212014-06-3072.97%---9.17%9.882014-03-3172.10%---7.72%10.672013-12-3183.33%---7.34%12.312013-09-3083.23%---11.34%13.082013-06-3081.47%---7.33%12.102013-03-3182.51%---17.32%11.472012-12-3190.14%---8.44%11.542012-09-3087.97%---6.09%12.762012-06-3086.67%0.00%12.30%13.582012-03-3181.74%0.00%8.96%13.032011-12-3194.19%0.00%5.47%15.512011-09-3094.99%0.00%5.42%17.012011-06-3094.79%0.00%6.05%17.752011-03-3194.89%0.00%5.26%19.392010-12-3194.61%0.00%6.36%23.442010-09-3094.54%0.00%5.74%25.442010-06-3094.58%0.00%5.36%20.292010-03-3192.54%0.00%6.19%22.772009-12-3193.92%0.00%5.19%23.802009-09-3085.58%7.52%7.04%20.092009-06-3093.54%4.01%4.01%24.172009-03-3189.60%4.44%5.95%22.022008-12-3179.57%11.83%8.71%16.442008-09-3067.16%26.15%3.95%18.342008-06-3063.13%27.71%4.54%22.722008-03-3187.22%3.05%8.46%31.392007-12-3186.27%4.13%9.03%46.652007-09-3089.42%1.40%5.77%71.112007-06-3088.94%1.54%9.20%78.262007-03-3189.92%3.94%3.35%22.56郑重声明:天天基金网发布此信息目的在于传播更多信息,与本网站立场无关。天天基金网不保证该信息(包括但不限于文字、数据及图表)全部或者部分内容的准确性、真实性、完整性、有效性、及时性、原创性等。相关信息并未经过本网站证实,不对您构成任何投资决策建议,据此操作,风险自担。数据来源:东方财富Choice数据。
网址:泰信优质生活混合(290004)基金资产配置 https://klqsh.com/news/view/209785
相关内容
泰信优质生活混合(290004)基金资产配置泰信优质生活混合
泰信优质生活混合(290004)基金净值
华安优质生活混合
永赢优质生活混合A
华安优质生活混合(008133)
广发优质生活混合A近一周上涨2.22%
汇安均衡成长混合A基金经理陆丰离任,由共同管理基金经理蒋毅管理,陆丰任期回报28.55%
广发优质生活混合A近一周上涨3.45%
广发优质生活混合净值下跌4.90%