行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

广发安润一年持有期混合C(017012)

2025-01-27     1.04140.0096%
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
2024-12-3143,571.538,529.493,499.530.00327,823.702,084.600.001,223.930.00
2024-09-3079,572.5917,461.066,566.550.00589,858.862,125.270.00612.510.00
2024-06-30101,672.7419,865.307,987.34602.19967,366.313,139.720.00626.430.00
2024-03-31196,773.9045,167.8912,237.750.001,213,377.0527,312.220.0010.870.00
2023-12-31196,329.7941,366.7817,412.970.001,128,149.3516,505.720.00375.610.00
2023-09-30199,484.2939,359.0810,960.830.001,174,062.742,098.670.001,161.680.00