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基金费率

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基金概况

财务数据

广发价值回报混合C(004853)

2025-01-27     1.35150.0889%
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
2024-12-3145,305.8011,464.623,527.09171.26297,070.560.000.0010.490.00
2024-09-3044,787.4116,451.852,930.55639.79241,107.180.000.00187.320.00
2024-06-3045,366.8814,718.383,245.94138.19271,667.521,041.220.006.270.00
2024-03-3162,685.9319,176.234,627.54135.11393,063.550.000.00230.800.00
2023-12-3175,750.7426,281.896,241.77138.60394,462.110.000.00203.890.00
2023-09-30103,969.2529,902.318,389.49135.97435,008.77101.210.002,851.680.00
2023-06-30111,751.3328,149.507,497.280.00457,165.77439.890.00150.130.00
2023-03-31105,563.5815,190.5114,834.450.00304,002.9920,789.600.002,102.880.00
2022-12-3127,317.845,278.709,398.790.00130,659.391,306.100.00133.170.00
2022-09-3036,465.995,137.948,732.360.00192,268.151,248.060.00254.390.00
2022-06-3014,716.0624.361,289.910.0091,618.060.000.001,856.410.00
2022-03-3113,826.56421.811,291.540.0050,472.780.000.00116.570.00
2021-12-3120,805.894,207.824,224.7880.160.001,027.900.00228.550.00
2021-09-3049,447.478,373.103,304.2218.110.000.000.00437.730.00
2021-06-3059,558.789,863.543,413.7515.7030,165.003,027.600.00801.280.00
2021-03-3173,442.888,123.276,062.260.0030,006.000.000.00428.480.00
2020-12-3173,762.4915,088.119,255.130.000.0010,031.700.001,292.140.00
2020-09-3072,023.1414,518.7325,388.250.000.0010,013.400.00545.600.00
2020-06-307,058.511,466.211,118.424.200.002,023.400.00142.030.00
2020-03-316,162.621,002.25682.06185.930.003,624.920.0074.630.00
2019-12-316,962.11552.841,021.9412.430.003,584.930.00180.040.00
2019-09-307,536.30368.201,543.1412.020.003,657.610.00128.220.00
2019-06-308,167.841,187.202,027.91128.100.004,572.300.00103.160.00
2019-03-316,141.35378.4381.940.120.002,637.730.00534.420.00
2018-12-317,507.810.00155.3714.230.002,636.930.00209.190.00