- 持有人结构
- 份额规模
数据更新至 2024-06-30
国富中国收益混合A 的基金机构持有 1.14亿份,占总份额的 13.29% ,个人投资者持有 7.41亿份,占总份额的 86.71%
持有人统计详情
- 报告日期
- 机构持有份额(亿份)
- 机构持有比例(%)
- 个人持有份额(亿份)
- 个人持有比例(%)
- 总份额(亿份)
- 2024-06-30
- 1.14
- 13.29
- 7.41
- 86.71
- 8.55
- 2023-12-31
- 1.50
- 15.54
- 8.14
- 84.46
- 9.64
- 2023-06-30
- 2.04
- 17.89
- 9.35
- 82.11
- 11.38
- 2022-12-31
- 8.11
- 45.22
- 9.83
- 54.78
- 17.94
- 2022-06-30
- 5.10
- 35.59
- 9.23
- 64.41
- 14.33
- 2021-12-31
- 5.46
- 42.69
- 7.32
- 57.31
- 12.78
- 2021-06-30
- 2.92
- 37.75
- 4.81
- 62.25
- 7.72
- 2020-12-31
- 1.38
- 34.85
- 2.58
- 65.15
- 3.96
- 2020-06-30
- 1.06
- 32.73
- 2.19
- 67.27
- 3.25
- 2019-12-31
- 0.61
- 20.51
- 2.38
- 79.49
- 2.99
- 2019-06-30
- 0.06
- 2.30
- 2.63
- 97.70
- 2.69
- 2018-12-31
- 0.01
- 0.42
- 2.80
- 99.58
- 2.81
- 2018-06-30
- 0.01
- 0.41
- 2.85
- 99.59
- 2.87
- 2017-12-31
- 0.13
- 4.11
- 3.07
- 95.89
- 3.20
- 2017-06-30
- 0.13
- 3.71
- 3.42
- 96.29
- 3.55
- 2016-12-31
- 0.01
- 0.32
- 3.63
- 99.68
- 3.64
- 2016-06-30
- 0.01
- 0.30
- 3.87
- 99.70
- 3.88
- 2015-12-31
- 0.01
- 0.30
- 3.96
- 99.70
- 3.97
- 2015-06-30
- 0.01
- 0.27
- 4.41
- 99.73
- 4.42
- 2014-12-31
- 0.73
- 8.91
- 7.48
- 91.09
- 8.22
- 2014-06-30
- 0.73
- 7.44
- 9.10
- 92.56
- 9.84
- 2013-12-31
- 1.28
- 11.56
- 9.80
- 88.44
- 11.08
- 2013-06-30
- 1.75
- 14.01
- 10.73
- 85.99
- 12.47
- 2012-12-31
- 2.94
- 20.55
- 11.35
- 79.45
- 14.29
- 2012-06-30
- 2.94
- 20.13
- 11.65
- 79.87
- 14.59
- 2011-12-31
- 6.05
- 33.52
- 12.01
- 66.48
- 18.06
- 2011-06-30
- 5.65
- 31.69
- 12.19
- 68.31
- 17.84
- 2010-12-31
- 8.41
- 41.86
- 11.68
- 58.14
- 20.09
- 2010-06-30
- 10.35
- 44.50
- 12.91
- 55.50
- 23.26
- 2009-12-31
- 6.58
- 36.56
- 11.42
- 63.44
- 17.99
- 2009-06-30
- 6.55
- 33.21
- 13.17
- 66.79
- 19.71
- 2008-12-31
- 4.14
- 25.13
- 12.33
- 74.87
- 16.46
- 2008-06-30
- 3.42
- 22.35
- 11.90
- 77.65
- 15.32
- 2007-12-31
- 2.35
- 13.26
- 15.41
- 86.74
- 17.76
- 2007-06-30
- 3.55
- 12.68
- 24.47
- 87.32
- 28.03
- 2006-12-31
- 2.15
- 80.51
- 0.52
- 19.49
- 2.67
- 2006-06-30
- 2.15
- 74.01
- 0.76
- 25.99
- 2.91
- 2005-12-31
- 3.07
- 59.81
- 2.07
- 40.19
- 5.14
国富中国收益混合A 报告期末总份额 7.57亿份,比上期增加 -11.42%, 期末净资产 9.42亿元,比上期增加 0.37%。
规模详情
- 报告日期
- 期间申购(亿份)
- 期间赎回(亿份)
- 期末总份额(亿份)
- 总份额变动率(%)
- 期末净资产(亿元)
- 2024-09-30
- 0.15
- 1.12
- 7.57
- -11.42
- 9.42
- 2024-06-30
- 0.11
- 0.67
- 8.55
- -6.23
- 9.38
- 2024-03-31
- 0.21
- 0.74
- 9.12
- -5.46
- 10.33
- 2023-12-31
- 0.35
- 1.20
- 9.64
- -8.11
- 11.25
- 2023-09-30
- 0.32
- 1.21
- 10.50
- -7.80
- 12.88
- 2023-06-30
- 0.63
- 4.52
- 11.38
- -25.46
- 14.15
- 2023-03-31
- 1.58
- 4.25
- 15.27
- -14.89
- 20.08
- 2022-12-31
- 2.62
- 1.26
- 17.94
- 8.19
- 23.55
- 2022-09-30
- 4.95
- 2.70
- 16.58
- 15.71
- 20.62
- 2022-06-30
- 2.43
- 5.04
- 14.33
- -15.36
- 20.28
- 2022-03-31
- 5.70
- 1.55
- 16.93
- 32.50
- 22.23
- 2021-12-31
- 5.41
- 1.23
- 12.78
- 48.57
- 20.52
- 2021-09-30
- 2.77
- 1.89
- 8.60
- 11.37
- 13.10
- 2021-06-30
- 2.98
- 0.70
- 7.72
- 41.87
- 12.18
- 2021-03-31
- 2.59
- 1.11
- 5.44
- 37.32
- 7.75
- 2020-12-31
- 1.17
- 1.84
- 3.96
- -14.43
- 6.22
- 2020-09-30
- 1.82
- 0.45
- 4.63
- 42.36
- 6.79
- 2020-06-30
- 0.69
- 0.60
- 3.25
- 2.87
- 4.15
- 2020-03-31
- 0.46
- 0.28
- 3.16
- 5.81
- 3.40
- 2019-12-31
- 0.29
- 0.16
- 2.99
- 4.57
- 3.31
- 2019-09-30
- 0.48
- 0.31
- 2.86
- 6.37
- 2.97
- 2019-06-30
- 0.02
- 0.41
- 2.69
- -12.57
- 2.58
- 2019-03-31
- 0.46
- 0.19
- 3.07
- 9.40
- 2.87
- 2018-12-31
- 0.01
- 0.03
- 2.81
- -0.74
- 2.23
- 2018-09-30
- 0.01
- 0.04
- 2.83
- -1.20
- 2.38
- 2018-06-30
- 0.01
- 0.10
- 2.87
- -2.77
- 2.49
- 2018-03-31
- 0.02
- 0.27
- 2.95
- -7.99
- 2.63
- 2017-12-31
- 0.01
- 0.16
- 3.20
- -4.52
- 2.83
- 2017-09-30
- 0.01
- 0.21
- 3.35
- -5.53
- 2.94
- 2017-06-30
- 0.02
- 0.11
- 3.55
- -2.48
- 3.01
- 2017-03-31
- 0.14
- 0.14
- 3.64
- 0.03
- 3.04
- 2016-12-31
- 0.03
- 0.15
- 3.64
- -3.30
- 2.96
- 2016-09-30
- 0.02
- 0.13
- 3.76
- -3.02
- 2.94
- 2016-06-30
- 0.02
- 0.08
- 3.88
- -1.57
- 2.98
- 2016-03-31
- 0.04
- 0.07
- 3.94
- -0.72
- 2.93
- 2015-12-31
- 0.03
- 0.19
- 3.97
- -3.92
- 3.26
- 2015-09-30
- 0.09
- 0.37
- 4.13
- -6.44
- 2.85
- 2015-06-30
- 0.41
- 2.61
- 4.42
- -33.23
- 3.66
- 2015-03-31
- 0.09
- 1.69
- 6.62
- -19.44
- 4.99
- 2014-12-31
- 0.05
- 1.01
- 8.22
- -10.43
- 5.25
- 2014-09-30
- 0.02
- 0.68
- 9.17
- -6.76
- 4.89
- 2014-06-30
- 0.03
- 0.35
- 9.84
- -3.11
- 4.89
- 2014-03-31
- 0.03
- 0.96
- 10.15
- -8.42
- 5.03
- 2013-12-31
- 0.03
- 0.95
- 11.08
- -7.67
- 5.83
- 2013-09-30
- 0.04
- 0.51
- 12.01
- -3.75
- 6.10
- 2013-06-30
- 0.04
- 1.57
- 12.47
- -10.93
- 6.07
- 2013-03-31
- 0.06
- 0.34
- 14.00
- -2.00
- 6.93
- 2012-12-31
- 0.06
- 0.19
- 14.29
- -0.89
- 6.92
- 2012-09-30
- 0.04
- 0.21
- 14.42
- -1.19
- 6.73
- 2012-06-30
- 0.06
- 0.24
- 14.59
- -1.21
- 6.89
- 2012-03-31
- 0.07
- 3.37
- 14.77
- -18.24
- 7.10
- 2011-12-31
- 0.71
- 0.32
- 18.06
- 2.23
- 8.62
- 2011-09-30
- 0.10
- 0.28
- 17.67
- -0.96
- 8.90
- 2011-06-30
- 0.23
- 1.18
- 17.84
- -5.07
- 10.05
- 2011-03-31
- 4.27
- 5.57
- 18.79
- -6.47
- 10.94
- 2010-12-31
- 0.28
- 1.89
- 20.09
- -7.41
- 13.76
- 2010-09-30
- 0.10
- 1.65
- 21.70
- -6.67
- 14.15
- 2010-06-30
- 1.14
- 1.56
- 23.26
- -1.76
- 13.08
- 2010-03-31
- 9.34
- 3.66
- 23.67
- 31.56
- 15.15
- 2009-12-31
- 0.23
- 1.04
- 17.99
- -4.33
- 14.77
- 2009-09-30
- 0.17
- 1.08
- 18.81
- -4.60
- 13.20
- 2009-06-30
- 6.22
- 2.81
- 19.71
- 20.93
- 14.02
- 2009-03-31
- 0.07
- 0.23
- 16.30
- -0.97
- 12.73
- 2008-12-31
- 1.15
- 0.21
- 16.46
- 6.05
- 10.83
- 2008-09-30
- 0.64
- 0.44
- 15.52
- 1.34
- 12.56
- 2008-06-30
- 2.16
- 1.33
- 15.32
- 5.75
- 14.42
- 2008-03-31
- 0.50
- 3.78
- 14.49
- -18.44
- 15.76
- 2007-12-31
- 0.85
- 5.76
- 17.76
- -21.63
- 23.01
- 2007-09-30
- 5.66
- 11.02
- 22.66
- -19.13
- 30.72
- 2007-06-30
- 29.27
- 2.98
- 28.03
- 1,507.39
- 29.87
- 2007-03-31
- 0.08
- 1.01
- 1.74
- -34.81
- 2.80
- 2006-12-31
- 0.02
- 0.19
- 2.67
- -5.87
- 3.89
- 2006-09-30
- 0.04
- 0.11
- 2.84
- -2.33
- 3.39
- 2006-06-30
- 0.03
- 0.79
- 2.91
- -20.73
- 3.67
- 2006-03-31
- 0.12
- 1.58
- 3.67
- -28.59
- 3.96
- 2005-12-31
- 0.31
- 0.89
- 5.14
- -10.12
- 5.27
- 2005-09-30
- 0.61
- 1.60
- 5.72
- --
- 5.82