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

广发双债添利债券E(009267)

2025-01-27     1.22990.1384%
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
2024-12-312,094,978.270.007,429.500.007,554,461.63402,634.49134,968.7614,710.090.00
2024-09-303,838,925.320.0052,188.340.0011,536,401.77930,039.33251,035.7812,665.750.00
2024-06-304,104,953.550.0013,252.190.0014,160,692.34976,562.98202,611.9063,377.250.00
2024-03-311,602,023.910.0012,004.310.005,355,264.57203,658.87109,404.3915,719.260.00
2023-12-31446,114.680.001,777.040.001,693,830.6842,775.9239,485.4610,328.790.00
2023-09-30296,782.400.001,744.000.001,482,523.6924,523.420.001,482.880.00
2023-06-30258,746.090.001,659.620.001,413,145.1226,520.400.002,000.740.00
2023-03-31121,037.850.00529.600.00562,524.798,190.640.008,431.120.00
2022-12-3157,203.130.00678.570.00323,269.584,169.170.0098.200.00
2022-09-30115,942.970.00843.570.00575,061.3615,327.380.0034.790.00
2022-06-30118,314.490.00721.740.00506,744.1717,131.580.0043.690.00
2022-03-31122,615.070.00558.050.00402,671.1414,196.640.00245.020.00
2021-12-31142,505.710.002,470.590.00704,478.7724,635.500.003,082.450.00
2021-09-30198,520.230.004,054.530.00824,799.7620,243.001,985.604,587.250.00
2021-06-30175,310.520.001,029.120.00929,851.5215,173.500.003,613.650.00
2021-03-31219,585.260.001,275.690.001,106,247.4610,994.500.004,491.430.00
2020-12-31292,647.400.002,530.920.001,508,199.6028,131.400.006,123.850.00
2020-09-301,087,160.880.003,610.780.004,382,711.2663,972.900.0026,666.760.00
2020-06-301,337,326.990.006,618.990.004,945,984.7293,042.407,122.0032,181.290.00