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基金业绩

基金费率

投资组合

基金概况

财务数据

广发新锐智选混合A(001734)

2026-01-30     1.91231.2817%
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
2025-12-3121,798.8318,533.043,221.349.300.000.000.00225.510.00
2025-12-1718,773.9816,708.041,946.579.300.000.000.00162.230.00
2025-09-3029,070.4925,890.252,966.710.000.000.000.00337.520.00
2025-06-3048,029.8841,300.973,337.130.000.000.000.001,122.240.00
2025-03-3145,998.6542,949.082,800.6519.400.000.000.00799.340.00
2024-12-3168,175.2664,671.568,471.4727.600.000.000.001,664.270.00
2024-09-30137,725.52128,225.287,848.437.510.000.000.001,322.170.00
2024-06-30130,783.38118,725.6911,809.8383.280.000.000.00700.060.00
2024-03-31157,792.68141,676.839,192.62107.150.000.000.00645.270.00
2023-12-31235,687.53218,989.1516,783.87577.300.000.000.00796.720.00
2023-09-30243,394.09225,261.6216,634.161,087.360.000.000.001,147.060.00
2023-06-30215,461.98203,393.9811,990.04536.500.000.000.00264.690.00
2023-03-31206,763.54179,807.1221,739.98668.050.000.000.0064.020.00
2022-12-3188,784.1880,049.874,836.873.440.000.000.0010.970.00
2022-09-305,127.112,244.081,869.798.350.000.000.0013.710.00
2022-06-305,356.791,554.892,541.997.730.000.000.00209.070.00
2022-03-314,688.684,019.00657.965.510.000.000.0070.960.00
2021-12-316,529.834,715.381,805.310.000.000.000.0032.150.00
2021-09-305,181.034,828.47409.930.000.000.000.001.210.00
2021-06-306,279.985,888.79442.740.000.000.000.002.950.00
2021-03-316,251.535,417.12854.910.000.000.000.005.680.00
2020-12-316,111.875,750.16450.210.000.000.000.006.190.00
2020-09-305,914.675,571.09373.260.000.000.000.002.670.00
2020-06-308,009.867,571.30503.115.390.000.000.0011.370.00
2020-03-317,685.667,175.43564.510.000.000.000.005.810.00