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基金业绩

基金费率

投资组合

基金概况

财务数据

广发聚鸿六个月持有期混合C(011139)

2024-11-26     0.5985-0.8614%
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
2024-09-3067,194.5857,487.276,463.550.000.000.000.001,616.620.00
2024-06-3061,342.0756,272.045,398.930.000.000.000.0065.860.00
2024-03-3167,207.2061,467.005,730.970.000.000.000.00139.760.00
2023-12-3173,848.6869,052.755,214.370.000.000.000.004.020.00
2023-09-3083,009.8677,727.585,395.310.000.000.000.0072.050.00
2023-06-3097,119.9091,324.055,922.320.000.000.000.00122.750.00
2023-03-31106,323.4197,250.5510,031.260.000.000.000.005.350.00
2022-12-31113,583.81106,362.086,639.670.000.000.000.00809.700.00
2022-09-30114,553.39106,803.347,540.14409.590.000.000.0016.180.00
2022-06-30132,930.64123,604.009,688.740.000.000.000.0023.690.00
2022-03-31120,716.48112,857.698,263.020.000.000.000.0024.960.00
2021-12-31157,255.95148,292.949,267.040.000.000.000.0039.340.00
2021-09-30206,641.18191,604.7415,793.360.000.000.000.0045.020.00
2021-06-30262,881.95105,367.40105,353.420.000.000.000.00364.970.00