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基金费率

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基金概况

财务数据

广发睿享稳健增利混合C(011702)

2025-02-14     0.96870.0000%
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
2024-12-319,194.78739.4573.760.0021,684.443,538.860.001.860.00
2024-09-309,679.521,153.0790.92524.8024,543.312,821.940.001,540.690.00
2024-06-309,585.831,970.00122.27907.4133,442.611,875.840.0077.730.00
2024-03-319,829.401,954.33153.881,101.0347,688.77709.650.00150.920.00
2023-12-3110,181.901,435.39441.723,314.3937,503.48908.690.001.470.00
2023-09-3011,710.782,257.85269.203,947.2854,787.711,097.830.001.910.00
2023-06-3012,421.973,288.51291.904,574.7155,086.24824.040.0022.670.00
2023-03-3112,924.454,307.61482.584,530.3845,047.182,328.690.00122.580.00
2022-12-3112,578.914,986.24765.783,701.3541,912.693,051.060.00149.190.00
2022-09-3017,406.635,707.76657.222,993.0742,419.856,331.500.0012.260.00
2022-06-3021,051.028,177.792,039.728,510.6636,211.891,066.950.00541.600.00
2022-03-3126,377.6710,234.865,848.625,953.8128,723.042,047.550.0024.920.00
2021-12-3136,916.8714,542.89660.134,788.1748,306.004,058.800.00434.400.00
2021-09-3039,206.1415,513.711,061.624,242.8948,092.002,001.200.00448.420.00
2021-06-3042,260.8513,597.981,182.67187.2442,433.002,150.650.002,206.450.00
2021-03-3142,434.0113,562.092,630.79221.39190,936.0010,015.400.00636.810.00