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

广发利鑫混合A(002446)

2024-07-17     1.7500-1.7406%
席位交易
单位:万元
报告期 股票交易 债券交易 回购交易 合计 佣金
2023-12-314,398,971.79120,706.9768,222.901,919,323.613,225.74
2023-06-302,781,636.51111,518.159,827.30301,450.492,033.53
2022-12-312,010,805.74120,862.860.000.001,469.15
2022-06-30718,125.0937,717.690.000.00525.17
2021-12-312,026,163.40156,433.58260,000.001,337,705.451,481.02
2021-06-30932,937.7489,518.12260,000.001,094,553.05682.26
2020-12-31496,559.4394,334.01322,000.00570,030.99363.15
2020-06-3068,549.527,265.610.000.0050.15
2019-12-3150,628.199,132.470.000.0037.03
2019-06-3016,713.779,132.470.000.0012.22
2019-03-26114.977,015.0917,810.0024,940.060.08
2018-12-3121,103.612,508.1651,100.0074,711.7715.43
2018-06-3020,192.372,508.1639,250.0061,950.5314.77
2017-12-3162,472.0215,798.4129,600.00107,870.4345.69
2017-06-3045,368.638.641,090.0046,467.2733.18
2016-12-3165,427.4127,814.8146,120.00128,075.9747.85
2016-06-304,744.636,255.5510,000.000.003.47