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基金业绩

基金费率

投资组合

基金概况

财务数据

广发活期宝货币B(003281)

2026-01-23     0.38670.0000%
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
2025-12-319,477,909.300.003,255,662.060.002,126,460.21155,043.680.0012,353.680.00
2025-09-3011,059,503.520.003,172,453.600.00400,332.32217,959.900.008,872.070.00
2025-06-3011,311,402.250.003,193,086.350.000.00110,051.390.0021,310.000.00
2025-03-3111,044,633.980.003,581,067.970.00294,810.52112,151.400.0010,986.750.00
2024-12-3112,915,070.290.002,549,585.020.00100,329.79116,334.380.0087,407.810.00
2024-09-3013,209,045.390.0010,298,585.000.00643,965.10206,662.410.0038,075.650.00
2024-06-3014,882,395.200.0010,738,210.590.001,142,577.8618,393.530.00204,549.280.00
2024-03-3114,090,359.770.007,683,570.200.003,238,726.23105,303.720.002,381.260.00
2023-12-319,580,014.820.006,419,732.430.00537,271.6093,080.350.002,181.740.00
2023-09-3012,737,283.440.006,342,838.510.001,701,010.94315,923.290.003,886.250.00
2023-06-3015,500,338.590.008,511,361.460.003,527,965.75388,223.610.00131,819.710.00
2023-03-3115,063,676.750.009,211,085.200.003,767,321.86525,822.400.001,082.900.00
2022-12-3113,651,857.640.006,497,819.690.002,191,148.00556,635.200.001,367.320.00
2022-09-3016,956,617.020.005,253,400.910.002,080,694.191,135,449.110.002,832.970.00
2022-06-3018,217,189.010.005,280,488.280.001,415,835.22761,745.750.00140,276.170.00
2022-03-3116,278,178.490.004,606,996.810.001,779,246.50542,994.730.003,502.190.00
2021-12-3112,518,794.730.005,270,422.500.001,264,886.81423,525.600.00401,434.210.00
2021-09-3014,052,047.940.005,886,982.970.00712,197.78721,873.900.0060,150.210.00
2021-06-3012,634,464.230.002,784,903.420.001,214,137.72647,179.540.00149,558.990.00
2021-03-3110,960,313.220.002,108,611.360.00410,785.71563,446.690.0034,127.390.00
2020-12-318,511,354.900.002,192,474.320.00149,990.20288,632.920.0018,756.810.00
2020-09-302,997,348.590.00801,456.360.000.00119,934.640.0011,371.630.00
2020-06-304,081,546.950.00803,032.900.000.00141,041.320.005,788.460.00
2020-03-314,437,750.850.00411,010.560.000.00196,415.850.009,030.010.00
2019-12-313,607,753.580.001,025,006.180.000.00172,067.430.008,151.260.00