服务热线:400-8878-707
广发策略优选(270006) 单位净值(2024-03-04):2.3281(0.86%) 购买

成立日期:2006-05-17 基金经理:-- 类型:混合型     广发基金 资产规模:30.65亿元(截止至:2023年12月31日)

基本概况 分红送配 基金持仓 规模变动 持有人结构 购买信息
费用分析
其他基金基金费率查询:

单位:万元

报告期费用合计管理人报酬占比托管费占比交易费占比销售服务费占比
2023-06-304,522.103,865.4985.48%644.2514.25%------------
2022-12-317,632.086,521.4285.45%1,086.9014.24%------------
2022-06-303,406.892,910.0485.42%485.0114.24%------------
2021-12-318,532.706,151.5772.09%1,025.2612.02%1,331.3315.60%------
2021-06-304,199.642,998.7071.40%499.7811.90%688.7416.40%------
2020-12-317,968.455,386.0667.59%897.6811.27%1,659.7120.83%------
2020-06-303,666.092,526.8768.93%421.1511.49%705.6819.25%------
2019-12-317,129.404,665.3365.44%777.5510.91%1,662.4823.32%------
2019-06-303,475.792,158.7362.11%359.7910.35%945.8527.21%------
2018-12-317,099.814,764.4467.11%794.0711.18%1,499.4121.12%------
2018-06-304,232.992,666.9363.00%444.4910.50%1,100.3425.99%------
2017-12-319,016.256,012.4666.68%1,002.0811.11%1,960.5721.74%------
2017-06-304,394.902,978.0467.76%496.3411.29%900.8720.50%------
2016-12-319,973.656,266.5462.83%1,044.4210.47%2,623.6226.31%------
2016-06-305,007.633,051.9360.95%508.6510.16%1,427.6428.51%------
2015-12-3117,987.749,127.2150.74%1,521.208.46%7,296.2440.56%------
2015-06-3010,606.685,499.5551.85%916.598.64%4,168.4239.30%------
2014-12-3114,551.8010,045.1569.03%1,674.1911.51%2,788.8619.17%------
2014-06-307,263.805,106.1570.30%851.0211.72%1,285.3017.69%------
2013-12-3117,132.4911,917.2969.56%1,986.2211.59%3,184.2118.59%------
2013-06-308,797.196,205.4370.54%1,034.2411.76%1,535.1517.45%------
2012-12-3117,570.7313,240.0675.35%2,206.6812.56%2,081.5811.85%------
2012-06-308,799.956,639.4875.45%1,106.5812.57%1,032.8711.74%0.000.00%
2011-12-3120,560.9215,794.5676.82%2,632.4312.80%2,091.5310.17%0.000.00%
2011-06-3010,987.858,144.2474.12%1,357.3712.35%1,464.9113.33%0.000.00%
2010-12-3124,236.7117,468.1372.07%2,911.3612.01%3,814.1815.74%0.000.00%
2010-06-3011,543.818,318.5472.06%1,386.4212.01%1,817.5815.75%0.000.00%
2009-12-3123,926.9816,918.8670.71%2,819.8111.79%4,143.7517.32%0.000.00%
2009-06-309,959.407,484.4775.15%1,247.4112.52%1,205.4412.10%0.000.00%
2008-12-3133,904.3423,899.1670.49%3,983.1911.75%5,975.5917.62%0.000.00%
2008-06-3023,784.4416,105.0567.71%2,684.1811.29%4,972.5620.91%0.000.00%
2007-12-3145,244.0028,281.7062.51%4,713.6210.42%12,200.6926.97%0.000.00%