服务热线:400-8878-707
广发制造业精选混合(270028) 单位净值(2024-03-04):3.7040(0.84%) 购买

成立日期:2011-09-20 基金经理:-- 类型:混合型     广发基金 资产规模:32.17亿元(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
2023-06-305,304.484,374.1182.46%729.0213.74%------189.673.58%
2022-12-317,285.526,043.4682.95%1,007.2413.83%------214.472.94%
2022-06-302,579.882,142.0983.03%357.0213.84%------70.632.74%
2021-12-313,088.872,225.0972.04%370.8512.01%420.3113.61%52.191.69%
2021-06-301,096.75788.5771.90%131.4311.98%159.4714.54%6.980.64%
2020-12-312,028.891,419.5769.97%236.6011.66%353.6017.43%0.910.04%
2020-06-30870.36595.9568.47%99.3311.41%166.0519.08%------
2019-12-311,111.45742.8966.84%123.8111.14%228.7020.58%------
2019-06-30550.02350.5163.73%58.4210.62%133.6224.29%------
2018-12-311,109.08761.8268.69%126.9711.45%182.9316.49%------
2018-06-30618.27428.7969.35%71.4711.56%98.9916.01%------
2017-12-311,661.491,080.3465.02%180.0610.84%363.6521.89%------
2017-06-30864.93553.3163.97%92.2210.66%201.2123.26%------
2016-12-312,288.931,406.1861.43%234.3610.24%609.3526.62%------
2016-06-301,267.16739.1858.33%123.209.72%385.2630.40%------
2015-12-312,998.111,085.4136.20%180.906.03%1,694.6656.52%------
2015-06-301,182.89406.3034.35%67.725.72%690.5758.38%------
2014-12-31678.08270.3539.87%45.066.65%326.2448.11%------
2014-06-30320.01128.2640.08%21.386.68%150.3146.97%------
2013-12-31841.36247.6929.44%41.284.91%515.7361.30%------
2013-06-30408.78124.9530.57%20.835.09%244.0659.71%------
2012-12-311,160.90488.4342.07%81.407.01%550.1747.39%------
2012-06-30684.03286.0241.81%47.676.97%329.7348.20%0.000.00%
2011-12-31368.08286.5177.84%47.7512.97%17.904.86%0.000.00%