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基金业绩

基金费率

投资组合

基金概况

财务数据

广发汇平一年定期债券A(003743)

2020-07-23     1.12490.0000%
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
2020-06-302,301.770.003,425.700.000.002,002.800.0022.140.00
2020-03-315,777.470.005,891.440.000.000.000.001.230.00
2019-12-316,098.630.0055.140.0047,163.195,073.100.00190.150.00
2019-09-306,066.820.0081.660.0047,277.894,004.000.00133.760.00
2019-06-306,009.980.0042.480.0062,188.930.000.00110.670.00
2019-03-315,982.980.0066.110.0069,547.352,006.000.002,208.370.00
2018-12-316,685.170.0071.590.0096,493.480.000.00157.470.00
2018-09-306,570.640.0092.040.0097,065.110.000.00156.030.00
2018-06-306,491.750.00575.990.0062,581.670.000.00121.120.00
2018-03-316,439.650.002,153.890.0066,176.870.000.00108.470.00
2017-12-3122,034.120.001,913.130.0041,197.000.000.00335.330.00
2017-09-3021,891.630.004,083.320.00136,626.000.000.00593.180.00
2017-06-3021,712.270.004,189.990.00103,460.000.000.00336.900.00
2017-03-3121,533.320.0010,382.50105.00103,714.000.000.00226.430.00