服务热线:400-8878-707
广发核心精选混合(270008) 单位净值(2024-03-04):4.0570(-0.42%) 购买

成立日期:2008-07-16 基金经理:-- 类型:混合型     广发基金 资产规模:7.81亿元(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
2023-06-30788.23667.3484.66%111.2214.11%------------
2022-12-311,407.731,189.9284.53%198.3214.09%------------
2022-06-30743.04628.5784.60%104.7614.10%------------
2021-12-312,118.441,556.4473.47%259.4112.25%280.7913.25%------
2021-06-301,169.76834.5671.34%139.0911.89%186.4215.94%------
2020-12-311,778.211,308.9773.61%218.1612.27%231.1713.00%------
2020-06-30863.88611.6970.81%101.9511.80%140.3216.24%------
2019-12-311,789.291,397.7078.11%232.9513.02%138.887.76%------
2019-06-30875.69703.4580.33%117.2413.39%45.695.22%------
2018-12-312,964.641,527.0151.51%254.508.58%1,143.3438.57%------
2018-06-301,758.06843.6747.99%140.618.00%753.6442.87%------
2017-12-314,581.712,666.9858.21%444.509.70%1,430.4531.22%------
2017-06-302,154.661,294.4360.08%215.7410.01%625.3329.02%------
2016-12-314,191.662,202.5452.55%367.098.76%1,583.1337.77%------
2016-06-302,124.631,098.8251.72%183.148.62%823.1738.74%------
2015-12-317,438.382,813.6837.83%468.956.30%4,113.8755.31%------
2015-06-304,758.561,698.7535.70%283.135.95%2,755.5057.91%------
2014-12-317,565.453,857.6650.99%642.948.50%3,022.2139.95%------
2014-06-303,757.932,233.5659.44%372.269.91%1,131.1330.10%------
2013-12-3112,706.886,553.2051.57%1,092.208.60%5,019.1239.50%------
2013-06-305,644.192,894.2051.28%482.378.55%2,246.9939.81%------
2012-12-315,910.103,255.2955.08%542.559.18%2,071.5535.05%------
2012-06-302,370.631,472.7862.13%245.4610.35%632.2626.67%0.000.00%
2011-12-316,163.613,534.8957.35%589.159.56%1,998.4732.42%0.000.00%
2011-06-303,421.471,713.5850.08%285.608.35%1,401.6040.96%0.000.00%
2010-12-317,463.603,587.8448.07%597.978.01%3,236.5543.36%0.000.00%
2010-06-303,391.091,461.8943.11%243.657.18%1,665.3149.11%0.000.00%
2009-12-314,300.252,284.1353.12%380.698.85%1,593.8137.06%0.000.00%
2009-06-301,479.28824.1755.71%137.369.29%496.9433.59%0.000.00%
2008-12-311,041.58758.3672.81%126.3912.13%110.4210.60%0.000.00%