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基金业绩

基金费率

投资组合

基金概况

财务数据

广发可转债债券A(006482)

2024-11-20     1.50720.6814%
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
2024-09-30249,095.0547,245.5820,274.16198,267.200.005,962.190.00837.310.00
2024-06-30326,902.0463,968.8123,338.99276,516.590.00504.230.0094.640.00
2024-03-31243,846.9047,352.5821,563.44199,902.450.000.000.001,603.500.00
2023-12-31335,087.1061,133.5048,002.53263,017.430.000.000.004,055.180.00
2023-09-30372,794.7072,424.3835,051.37311,145.500.002,000.140.001,304.890.00
2023-06-30398,864.9556,517.2240,054.86308,876.840.000.000.00119.690.00
2023-03-31248,659.4848,667.3618,854.81215,581.100.000.000.00198.360.00
2022-12-31232,939.3229,781.4418,764.97189,976.650.003,009.170.00141.240.00
2022-09-30270,514.1828,600.2345,995.16241,592.670.000.000.00161.450.00
2022-06-30296,532.8534,551.0826,480.82240,508.460.000.000.004,661.240.00
2022-03-31288,186.3347,427.5438,249.35298,482.250.000.000.002,787.200.00
2021-12-31430,024.5383,346.9149,050.04363,327.400.000.000.002,057.100.00
2021-09-30202,118.4425,431.2719,016.19178,183.410.000.000.001,665.970.00
2021-06-3044,167.376,676.845,783.9337,044.620.000.000.001,329.350.00
2021-03-3122,928.724,519.122,060.7822,208.830.000.000.001,124.070.00
2020-12-3113,546.562,658.261,091.2211,712.410.00750.000.00285.760.00
2020-09-3013,263.912,404.47591.8211,909.340.00698.530.00263.940.00
2020-06-304,049.61534.76182.133,776.160.00207.430.0022.970.00
2020-03-315,054.370.00939.633,974.290.00352.670.0031.480.00
2019-12-312,629.81287.84186.012,044.020.00112.440.0020.000.00
2019-09-302,203.88261.0186.271,747.710.00112.370.004.670.00
2019-06-302,093.92129.46124.461,599.890.00242.420.005.150.00
2019-03-312,161.810.0050.5086.220.001,228.850.00183.270.00
2018-12-311,245.090.000.000.000.000.000.000.000.00