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基金业绩

基金费率

投资组合

基金概况

财务数据

广发集优9个月持有期债券C(012331)

2024-11-20     1.02970.3020%
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
2024-09-3097,267.2220,186.671,129.17323.36295,062.5240,809.600.00173.320.00
2024-06-30106,607.6020,314.67499.84682.08280,284.8940,774.480.001,223.240.00
2024-03-31118,028.1121,004.74928.423,568.68309,170.1636,162.170.00390.080.00
2023-12-31136,667.8717,613.243,177.2918,223.41356,510.2036,252.970.001,455.840.00
2023-09-30166,026.3623,350.241,601.9333,182.42438,463.5540,195.190.00467.400.00
2023-06-30207,270.2837,102.463,531.7939,959.59531,029.4657,189.690.00608.070.00
2023-03-31298,872.2255,344.002,790.2344,961.76845,639.2163,043.850.00834.800.00
2022-12-31320,378.0053,453.522,541.5427,464.611,011,711.3977,072.770.00305.280.00
2022-09-30382,005.8255,158.102,478.3819,628.951,344,756.17108,813.650.005,957.410.00
2022-06-30238,717.2446,865.972,814.4820,384.77953,531.6521,162.740.005,526.260.00
2022-03-31230,925.4329,077.525,377.348,345.111,050,377.5427,532.520.0055.600.00
2021-12-31175,417.1915,985.615,847.223,029.40867,561.0027,366.800.006,128.230.00
2021-09-3075,196.463,428.894,797.483,420.47371,066.0011,101.100.001,471.380.00