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基金费率

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基金概况

财务数据

广发全球科技三个月定开混合美元(QDII)C(011423)

2024-11-19     0.15371.2516%
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
2024-09-30200,887.51133,094.8933,553.860.000.000.000.0012,343.900.00
2024-06-30215,189.91156,161.9423,418.530.000.000.000.001,434.580.00
2024-03-31307,964.16215,905.8549,446.690.000.000.000.0012,986.190.00
2023-12-31304,846.31218,482.6311,530.700.000.000.000.0020,455.390.00
2023-09-30283,154.44223,319.5616,947.210.000.000.000.005,289.750.00
2023-06-30309,900.00268,618.728,547.460.000.000.000.002,560.950.00
2023-03-31295,560.00233,768.2015,299.470.000.000.000.005,584.350.00
2022-12-31258,600.66196,114.7718,577.250.000.000.000.009,122.640.00
2022-09-30280,015.04230,242.3720,425.600.000.000.000.008,685.040.00
2022-06-30317,561.56253,820.9240,035.020.000.000.000.0011,507.950.00
2022-03-31341,587.93276,907.9461,604.380.000.000.000.00131.480.00
2021-12-31431,790.53297,533.99148,690.160.000.000.000.00135.430.00
2021-09-30443,730.25397,174.5947,535.770.000.000.000.002,072.650.00
2021-06-30649,063.58436,186.69184,828.280.000.000.000.00296.200.00