服务热线:400-8878-707
广发聚瑞混合(270021) 单位净值(2024-03-04):3.0899(0.21%) 购买

成立日期:2009-06-16 基金经理:-- 类型:混合型     广发基金 资产规模:14.99亿元(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
2023-06-301,711.981,450.7184.74%241.7914.12%------8.650.51%
2022-12-313,947.183,339.0084.59%556.5014.10%------29.630.75%
2022-06-302,205.621,864.9384.55%310.8214.09%------18.830.85%
2021-12-316,110.113,756.9361.49%626.1510.25%1,677.5127.45%27.330.45%
2021-06-302,646.961,589.7260.06%264.9510.01%775.7429.31%5.610.21%
2020-12-314,957.332,828.3557.05%471.399.51%1,634.5632.97%0.550.01%
2020-06-302,448.351,423.7958.15%237.309.69%776.1931.70%------
2019-12-313,070.551,754.3457.13%292.399.52%1,001.6432.62%------
2019-06-301,298.46718.6155.34%119.779.22%450.3734.68%------
2018-12-312,682.641,366.4950.94%227.758.49%1,051.1939.18%------
2018-06-301,541.21726.8847.16%121.157.86%673.1643.68%------
2017-12-312,735.941,580.5157.77%263.429.63%853.1431.18%------
2017-06-301,178.54790.7567.10%131.7911.18%236.9220.10%------
2016-12-312,673.481,682.8362.95%280.4710.49%671.3825.11%------
2016-06-301,428.77833.8058.36%138.979.73%436.5830.56%------
2015-12-316,347.732,976.0046.88%496.007.81%2,833.0344.63%------
2015-06-304,051.471,927.8747.58%321.317.93%1,780.2743.94%------
2014-12-319,709.165,758.6359.31%959.779.89%2,948.4430.37%------
2014-06-304,000.922,889.8972.23%481.6512.04%608.9515.22%------
2013-12-3110,620.625,446.4551.28%907.748.55%4,223.7839.77%------
2013-06-305,792.862,922.2950.45%487.058.41%2,362.2140.78%------
2012-12-318,552.965,738.3467.09%956.3911.18%1,816.9421.24%------
2012-06-303,505.702,516.6971.79%419.4511.96%549.0815.66%0.000.00%
2011-12-316,209.854,471.5572.01%745.2612.00%951.7815.33%0.000.00%
2011-06-302,843.201,944.9268.41%324.1511.40%553.3419.46%0.000.00%
2010-12-318,412.444,904.4258.30%817.409.72%2,647.5731.47%0.000.00%
2010-06-304,293.822,697.2162.82%449.5310.47%1,125.7926.22%0.000.00%
2009-12-3110,471.515,266.1650.29%877.698.38%4,304.9641.11%0.000.00%