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财务数据

广发安悦回报混合A(002120)

2024-11-20     1.16610.0343%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2024-09-3033,918.393,376.744,361.25847.9340,689.713,035.502,037.921,623.410.00
2024-06-3022,535.28827.481,970.67208.0076,709.884,626.380.00143.520.00
2024-03-3123,026.56521.972,909.71495.0886,509.881,215.860.0073.320.00
2023-12-3121,581.82336.154,599.87571.9286,718.911,207.620.00121.080.00
2023-09-3026,766.56520.132,304.17485.37126,760.323,011.430.00445.840.00
2023-06-3034,848.241,650.252,468.16570.75183,198.628,244.670.00424.370.00
2023-03-3141,237.532,157.145,106.41828.90279,941.626,061.390.0053.160.00
2022-12-3163,155.032,242.107,023.221,010.37440,539.5712,212.850.00297.860.00
2022-09-3096,287.912,462.171,020.83770.52458,206.3527,666.750.0070.500.00
2022-06-30125,968.537,944.072,628.741,462.88410,251.2127,509.120.002,961.280.00
2022-03-31109,639.581,493.511,704.39974.52316,332.7319,225.970.00722.040.00
2021-12-31158,678.8115,860.754,169.488,012.29368,102.8049,657.100.0048,488.590.00
2021-09-30175,869.5616,187.483,225.387,987.06358,816.0055,489.500.003,131.660.00
2021-06-30169,808.0615,719.301,342.4710,311.80410,484.6458,305.100.002,941.110.00
2021-03-31117,763.6013,707.73266.640.00371,178.0048,034.000.001,446.750.00
2020-12-31109,432.7713,683.121,331.3726.50371,507.0045,962.600.00946.350.00
2020-09-3075,936.8712,533.953,508.5716.56231,657.0032,819.400.001,058.910.00
2020-06-3075,884.447,870.78425.1119.96263,313.0033,160.600.001,381.480.00
2020-03-3176,125.247,200.19124.310.00264,580.0018,240.400.001,294.030.00
2019-12-3178,250.727,069.36313.229.62277,356.0013,117.100.00974.970.00
2019-09-3077,088.927,616.53434.490.00277,818.009,103.700.001,290.060.00
2019-06-3075,104.708,009.30271.791,361.65257,143.007,046.300.001,392.870.00
2019-03-3173,917.517,174.15257.27302.83293,608.007,052.300.001,898.040.00
2018-12-3172,839.920.00236.170.00481,178.004,009.200.001,294.810.00
2018-09-3075,701.010.00121.430.00381,822.664,006.800.001,615.720.00