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广发沪港深精选混合C(012183)

2025-06-19     0.8789-0.9579%
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
2025-03-316,390.895,140.79503.740.000.000.000.00203.970.00
2024-12-318,067.827,435.64676.550.000.000.000.004.210.00
2024-09-3014,158.8611,070.241,489.250.000.000.000.002,204.510.00
2024-06-308,891.718,332.93592.950.000.000.000.0025.900.00
2024-03-317,039.386,348.42703.080.000.000.000.005.190.00
2023-12-317,042.536,224.80862.870.000.000.000.004.010.00
2023-09-308,315.967,483.61860.580.000.000.000.002.760.00
2023-06-308,763.088,192.52612.310.000.000.000.002.600.00
2023-03-319,576.448,705.97774.8420.100.000.000.00103.800.00
2022-12-3110,258.648,925.091,375.200.000.000.000.004.590.00
2022-09-308,822.637,686.561,153.710.000.000.000.00120.840.00
2022-06-3012,526.3911,111.45664.550.000.000.000.001,222.600.00
2022-03-3112,451.104,886.787,620.660.000.000.000.002.210.00