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基金业绩

基金费率

投资组合

基金概况

财务数据

广发招享混合C(013880)

2024-11-20     1.28110.3054%
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
2024-09-30367,533.75109,884.151,178.8152,960.211,272,184.75121,138.260.005,836.020.00
2024-06-30365,142.62105,549.873,010.1637,459.691,568,302.13122,455.570.001,229.480.00
2024-03-31408,440.14119,803.512,938.3236,556.471,774,392.40116,039.340.00149.340.00
2023-12-31500,763.67148,952.192,950.8249,484.451,843,497.63159,371.810.001,305.570.00
2023-09-30545,151.01161,078.623,695.9340,203.841,983,246.87183,607.570.00604.070.00
2023-06-30594,867.02157,320.373,986.7632,139.322,021,252.70210,137.770.002,484.270.00
2023-03-31671,933.45201,299.543,472.2651,274.982,129,466.26221,096.140.004,976.870.00
2022-12-31759,621.52210,477.401,547.7951,003.322,101,863.87288,332.490.00675.800.00
2022-09-30836,629.08193,457.529,555.2650,264.381,923,829.90220,872.220.002,041.100.00
2022-06-30790,082.96167,616.4851,093.7770,014.371,949,179.83212,127.190.008,048.020.00
2022-03-31768,013.27139,530.366,502.2645,222.592,274,188.16193,307.540.006,399.770.00
2021-12-31480,891.6278,991.682,310.9434,881.791,574,846.47172,484.590.0015,113.640.00