| 业绩比较基准: |
X*沪深300指数收益率+(100%-X)*中债新综合财富(总值)指数收益率
时间段 权益类资产占比 X值(%)
基金合同生效日-2024/12/31 60.0%-80.0% 75.00%
2025/1/1-2025/12/31 55.0%-80.0% 70.00%
2026/1/1-2026/12/31 55.0%-80.0% 70.00%
2027/1/1-2027/12/31 55.0%-80.0% 70.00%
2028/1/1-2028/12/31 45.0%-70.0% 60.00%
2029/1/1-2029/12/31 45.0%-70.0% 60.00%
2030/1/1-2030/12/31 45.0%-70.0% 60.00%
2031/1/1-2031/12/31 35.0%-60.0% 50.00%
2032/1/1-2032/12/31 35.0%-60.0% 50.00%
2033/1/1-2033/12/31 35.0%-60.0% 50.00%
2034/1/1-2034/12/31 25.0%-50.0% 40.00%
2035/1/1-2035/12/31 25.0%-50.0% 40.00%
2036/1/1-2036/12/31 25.0%-50.0% 40.00%
2037/1/1-2037/12/31 15.0%-40.0% 30.00%
2038/1/1-2038/12/31 15.0%-40.0% 30.00%
2039/1/1-2039/12/31 15.0%-40.0% 30.00%
2040/1/1-2040/12/31 5.0%-30.0% 20.00%
2041/1/1-2041/12/31 5.0%-30.0% 20.00%
2042/1/1-2042/12/31 5.0%-30.0% 20.00%
2043/1/1-2043/12/31 0.0%-20.0% 10.00%
2044/1/1-2044/12/31 0.0%-20.0% 10.00%
2045/1/1-2045/12/31 0.0%-20.0% 10.00% |