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基金概况

财务数据

广发睿铭两年持有期混合C(011195)

2024-11-22     0.9602-2.6068%
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
2024-09-30150,045.33112,546.938,852.7225,652.420.000.000.003,783.350.00
2024-06-30139,650.85105,163.958,263.8626,242.330.000.000.00299.110.00
2024-03-31140,611.98105,599.339,208.9925,643.540.000.000.00539.110.00
2023-12-31134,060.63100,759.017,783.0326,379.180.000.000.0011.690.00
2023-09-30155,169.15116,446.949,795.6929,490.840.000.000.0023.000.00
2023-06-30171,961.48129,265.4615,325.7731,568.810.000.000.0090.490.00
2023-03-31210,806.14158,392.5514,090.3438,653.450.000.000.0025.280.00
2022-12-31216,557.81162,330.4814,010.0240,265.980.000.000.00471.810.00
2022-09-30214,537.86160,691.9414,551.9839,983.660.000.000.00126.440.00
2022-06-30217,446.14163,434.5414,180.9840,064.590.000.000.00164.740.00
2022-03-31205,543.22153,251.9115,050.7838,187.580.000.000.0065.900.00
2021-12-31241,902.20180,742.5116,831.6043,755.710.000.000.003,769.170.00
2021-09-30247,407.00185,465.7620,211.2540,881.170.000.000.001,966.350.00
2021-06-30228,244.20167,655.9614,824.2047,252.070.000.000.00132.030.00