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基金业绩

基金费率

投资组合

基金概况

财务数据

广发利鑫混合A(002446)

2024-11-20     1.86201.7486%
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
2024-09-30212,617.99200,490.1216,345.390.000.000.000.005,638.440.00
2024-06-30200,702.06179,420.5710,822.866,451.340.004,056.640.003,024.400.00
2024-03-31267,591.16240,234.3215,419.5210,313.510.001,024.060.002,070.400.00
2023-12-31314,107.60267,013.7027,940.6818,453.580.000.000.005,540.690.00
2023-09-30328,135.08246,118.5336,504.9117,086.800.000.000.0029,860.120.00
2023-06-30417,475.52307,492.1198,197.4615,849.660.000.000.002,332.370.00
2023-03-31425,560.90312,224.8353,053.8055,020.700.000.000.007,114.950.00
2022-12-31295,603.50218,451.7426,782.3652,093.450.000.000.00815.240.00
2022-09-30151,786.03112,778.1311,753.1427,533.510.000.000.002,327.560.00
2022-06-30123,853.9191,822.5711,905.8721,124.390.000.000.00183.390.00
2022-03-31124,590.3892,629.907,182.2124,386.100.000.000.001,645.890.00
2021-12-31156,900.15110,021.7230,908.2816,540.030.000.000.00256.570.00
2021-09-30212,507.06146,183.4964,917.908,827.710.000.000.00897.860.00
2021-06-30233,001.69151,062.2040,356.3953,245.060.000.000.001,021.980.00
2021-03-31176,293.4789,793.4836,140.5651,553.250.000.000.001,096.700.00
2020-12-31174,298.13106,009.2325,335.9812,729.650.000.000.0031,682.200.00
2020-09-30105,800.0366,201.3239,152.792,101.800.000.000.001,236.370.00
2020-06-3054,700.6034,007.5416,009.153,595.230.00857.670.001,086.030.00
2020-03-3123,052.5520,854.412,239.8927.560.000.000.00196.230.00
2019-12-3123,469.8521,946.231,839.130.000.000.000.0030.940.00
2019-09-3024,163.6522,890.011,323.760.000.000.000.0094.820.00
2019-06-3017,678.6115,676.452,077.870.000.000.000.006.560.00
2019-03-3123,885.088,338.591,088.31104.6759,982.0010,597.400.00263.000.00
2019-03-2629,479.148,066.905,481.5091.5089,952.0010,594.100.001,573.010.00
2018-12-3176,178.096,543.211,425.010.00169,577.009,566.000.001,219.590.00