行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

广发集丰债券A(002711)

2025-01-27     1.1648-0.0772%
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
2024-12-3139,347.377,377.182,694.7912,845.03143,472.452,058.015,175.3317.790.00
2024-09-3052,780.3910,572.34290.3225,165.27144,014.565,068.423,925.05409.870.00
2024-06-3079,156.2414,370.95700.5740,141.36339,951.6310,354.860.002,026.280.00
2024-03-31110,273.6521,858.40997.8550,514.15287,421.4527,733.080.00211.040.00
2023-12-31219,233.3244,575.512,182.0456,176.49875,298.5972,147.940.007,015.050.00
2023-09-30326,146.2663,784.121,068.3234,966.861,581,326.90105,212.830.0057.850.00
2023-06-30314,639.8341,292.271,606.2225,277.691,472,202.7988,801.672,056.53185.680.00
2023-03-31299,915.8756,288.291,642.1631,034.361,166,215.64108,097.742,034.88556.780.00
2022-12-31309,641.9362,082.29608.3830,113.861,180,616.73165,496.172,083.593,240.690.00
2022-09-30341,256.9567,399.70779.3324,329.27772,240.87152,225.694,117.2219.390.00
2022-06-30391,336.7573,950.712,897.1437,850.78904,741.88148,699.634,058.123,172.480.00
2022-03-31396,744.2573,266.761,292.0322,074.681,063,239.00159,566.752,040.681,665.760.00
2021-12-31343,432.0850,425.521,043.2125,137.66982,128.47146,418.242,022.8010,318.830.00
2021-09-30116,742.8720,655.533,547.6022,687.24383,762.5011,084.532,020.601,451.710.00
2021-06-30135,861.6419,397.643,572.4020,924.31423,494.5013,552.362,007.802,456.800.00
2021-03-31110,712.4114,046.53574.0917,221.52427,437.008,321.752,004.201,673.200.00
2020-12-31118,046.9516,462.125,695.3214,133.74428,706.5029,183.061,993.401,737.630.00
2020-09-3082,316.5312,345.38277.1113,195.06343,426.0015,085.901,987.201,123.920.00
2020-06-3044,552.077,437.684,879.219,532.18134,161.037,313.544,068.20707.240.00
2020-03-3134,556.365,848.966,952.672,830.8222,244.003,895.084,158.60360.090.00
2019-12-3123,825.674,800.0112,245.605,623.1724,061.003,844.290.00253.530.00
2019-09-3019,673.182,359.206,323.032,537.2024,071.004,864.110.00168.020.00
2019-06-3011,591.252,256.25122.611,231.6744,181.002,182.500.00540.100.00
2019-03-3111,690.17164.07208.541,212.4868,363.001,002.700.00328.310.00
2018-12-3111,462.080.00549.5123.1659,977.001,003.200.00240.740.00