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

广发稳裕混合A(002622)

2026-01-30     1.3716-0.1020%
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
2025-12-315,721.81458.85524.690.8624,520.932,051.990.0022.810.00
2025-09-306,345.69119.651,065.090.9135,851.421,009.530.002.350.00
2025-06-305,610.33334.111,229.40145.3821,508.43602.710.00476.510.00
2025-03-315,062.13322.171,223.92174.4729,745.481,033.480.0066.720.00
2024-12-315,156.711,081.631,702.87258.320.002,050.520.00118.170.00
2024-09-305,430.491,796.061,964.38216.490.001,050.390.0068.400.00
2024-06-305,504.29509.262,306.58124.800.002,569.850.0010.770.00
2024-03-315,624.38404.18925.66137.990.002,072.270.001.370.00
2023-12-315,733.86259.991,692.54224.755,126.713,091.620.008.460.00
2023-09-305,991.38561.90362.87317.285,100.442,068.070.001.820.00
2023-06-306,328.52815.82668.57281.496,810.934,063.200.00114.580.00
2023-03-317,183.871,197.70645.31643.5016,981.234,085.090.002.200.00
2022-12-317,617.59607.611,663.55194.5221,066.793,148.140.0060.360.00
2022-09-308,649.97539.95877.5010.0921,071.923,135.490.000.680.00
2022-06-308,584.331,602.353,266.830.0021,072.332,076.680.000.870.00
2022-03-316,986.72727.99738.247.5927,517.262,090.050.00702.120.00
2021-12-318,158.06742.331,091.776.9032,060.820.000.00145.950.00
2021-09-3013,229.232,531.36797.7283.3650,244.001,991.400.00349.570.00
2021-06-3018,360.653,909.88335.9180.7450,145.002,996.000.00221.470.00
2021-03-3177,856.7811,156.881,214.7749.33140,462.007,895.100.00912.160.00
2020-12-3174,437.2217,552.74237.79833.69140,188.008,895.600.00971.660.00
2020-09-3066,876.5412,783.46553.28209.58150,887.102,997.200.00843.100.00
2020-06-3059,768.699,200.531,265.940.2081,617.6018,252.270.00997.690.00
2020-03-3159,636.837,332.04855.550.210.0023,423.510.008,347.860.00
2019-12-3160,091.359,998.07411.87318.260.0048,525.760.00937.200.00