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广发聚财信用债券B(270030)

2024-11-22     1.1910-0.1676%
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
2024-09-3038,183.660.003,778.419,129.2475,343.620.000.003.150.00
2024-06-3038,284.850.004,655.496,763.83159,175.490.000.00502.210.00
2024-03-3137,382.820.002,228.707,397.99188,078.7512,493.570.001.180.00
2023-12-3150,884.61104.913,660.3210,751.47313,311.330.000.00497.040.00
2023-09-3053,187.8089.833,989.9911,958.83333,967.983,121.350.004.680.00
2023-06-3065,176.44541.855,469.6012,135.97426,982.783,102.700.00268.200.00
2023-03-3189,205.361,145.1717,837.3610,528.63579,711.087,218.080.00124.980.00
2022-12-3186,175.081,360.0712,053.808,537.25573,651.156,130.770.00291.610.00
2022-09-30113,095.03508.6818,567.238,063.01649,126.576,300.900.001,139.640.00
2022-06-3046,163.8116.301,109.582,140.06228,368.312,033.360.001,915.680.00
2022-03-3141,982.61118.18301.03223.32229,121.024,406.180.0025.200.00
2021-12-3144,575.79393.311,132.944,960.83301,197.002,302.780.001,219.750.00
2021-09-3045,767.462,966.39282.625,246.75227,317.412,303.690.00852.620.00
2021-06-3045,514.23956.53399.485,526.14217,606.422,327.140.00873.340.00
2021-03-3151,792.523,591.63569.431,730.63315,626.443,003.900.00772.580.00
2020-12-3156,803.051,021.63164.792,347.04319,554.453,012.600.001,588.040.00
2020-09-3073,834.916,806.094,851.779,809.05264,102.880.000.001,532.900.00
2020-06-30124,303.91133.18697.628,375.23604,353.926,027.600.003,686.940.00
2020-03-31161,265.881,651.071,523.5813,629.62630,334.968,432.522,049.004,288.600.00
2019-12-31187,899.112,086.91833.798,508.10762,464.979,402.150.005,280.680.00
2019-09-30225,375.190.002,882.536,373.12843,489.4033,522.880.005,581.710.00
2019-06-30214,453.080.00550.974,412.07830,033.4111,028.200.005,436.060.00
2019-03-31275,897.340.00808.95986.391,011,203.6614,226.147,835.906,423.280.00
2018-12-31163,570.520.001,198.18382.45833,220.678,195.620.004,080.510.00
2018-09-30149,901.260.00570.470.00900,501.848,022.100.004,069.310.00