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基金业绩

基金费率

投资组合

基金概况

财务数据

广发鑫裕混合A(002134)

2024-12-02     1.35221.0915%
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
2024-09-305,768.254,149.771,057.3239.970.000.000.0090.710.00
2024-06-306,335.343,683.072,083.7039.880.000.000.002.960.00
2024-03-313,938.822,249.93631.85166.232,028.63713.200.005.650.00
2023-12-3122,766.8013,322.281,021.44449.6731,508.252,639.840.00183.560.00
2023-09-3074,079.3729,042.77336.912,159.19255,810.1719,669.000.0030.690.00
2023-06-3076,176.5230,521.70687.422,289.16225,962.5615,303.640.0059.820.00
2023-03-3176,654.7828,892.601,142.252,246.49253,922.2218,780.410.0056.820.00
2022-12-31104,065.1039,092.852,471.4549.15295,947.3445,579.900.0018.950.00
2022-09-30118,971.7735,701.50813.2333.49298,803.5560,678.300.008.840.00
2022-06-3037,383.7311,352.142,612.5838.2192,839.8417,093.600.006.830.00
2022-03-3146,511.9015,076.032,550.604.3072,008.0721,985.440.00165.510.00
2021-12-3167,337.6913,291.621,155.99182.8570,919.0018,362.600.001,237.680.00
2021-09-3091,633.9116,313.72890.510.00257,583.005,006.000.001,304.980.00
2021-06-3090,083.7715,082.34767.9759.88157,594.105,006.500.001,352.150.00
2021-03-3158,609.9213,305.79457.990.00159,990.0011,161.900.00894.610.00
2020-12-3168,960.3113,085.79964.5113.83160,065.0013,980.000.00754.470.00
2020-09-3067,748.5512,238.95876.4911.0499,606.3611,940.500.00700.690.00
2020-06-3045,316.728,514.30349.4022.1980,160.009,029.400.00651.630.00
2020-03-3135,850.007,481.64312.390.0093,669.006,050.000.00587.030.00
2019-12-3136,394.266,718.27648.384.5093,339.004,010.600.00529.420.00
2019-09-3036,198.236,429.33174.860.0093,550.002,000.200.00699.580.00
2019-06-3030,918.326,871.03295.561,718.4765,752.001,999.200.00549.580.00
2019-03-3150,281.852,928.0394.791,098.91114,716.0011,187.250.001,267.670.00
2018-12-3149,270.548,436.91191.762,086.4279,218.002,592.270.00941.220.00
2018-09-3050,193.7310,474.25265.452,070.00133,224.009,724.090.001,052.320.00