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广发集利一年定期开放债券A(000267) 单位净值(2024-03-01):1.1060(-%) 购买

成立日期:2013-08-21 基金经理:-- 类型:债券型     广发基金 资产规模:2.73亿元(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
利润表
其他基金基金费率查询:
2018-12-312017-12-312016-12-312015-12-31
一、收入:261,605,354.83466,593,923.41-199,199,219.26178,685,456.32
1.利息收入199,642,329.35554,703,009.41298,352,874.5484,247,463.40
其中:存款利息收入17,183,748.39185,008,042.531,945,902.04277,915.46
其中:债券利息收入164,875,767.53354,062,604.93285,478,218.0183,960,629.18
其中:资产支持证券利息收入17,512,450.092,490,827.18------
2.投资收益
(损失以'-'填列)
12,921,500.38-269,085,259.30-207,266,454.3644,996,018.03
基中:股票投资收益------------
基中:基金投资收益------------
基中:债券投资收益10,751,192.43-269,085,259.30-207,266,454.3644,996,018.03
其中:资产支持证券投资收益2,170,307.95---------
其中:衍生工具收益------------
其中:股利收益------------
3.公允价值变动收益
(损失以'-'填列)
49,033,879.21180,976,173.30-290,310,639.4449,441,974.89
4.汇兑收益
(损失以'-'填列)
------------
5.其他收入
(损失以'-'填列)
7,645.89---25,000.00---
减:二、费用81,314,644.67176,081,953.3892,852,440.2129,245,927.91
1.管理人报酬19,311,933.5582,333,668.5735,492,623.006,801,210.96
2.托管费5,517,695.3623,523,905.3210,140,749.351,943,203.16
3.销售服务费1,191,329.015,692,357.912,816,605.381,061,617.04
4.交易费用49,898.96143,024.07147,484.5345,586.20
5.利息支出54,185,095.2063,917,437.6843,806,588.0918,978,418.23
其中:卖出回购金融资产支出54,185,095.2063,917,437.6843,806,588.0918,978,418.23
6.其他费用440,023.10471,559.83448,389.86415,892.32
三、利润总额
(亏损总额以'-'号填列)
180,290,710.16290,511,970.03-292,051,659.47149,439,528.41
减:所得税费用------------
四、净利润
(亏损总额以'-'号填列)
180,290,710.16290,511,970.03-292,051,659.47149,439,528.41