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广发聚丰混合(270005) 单位净值(2024-03-04):0.5354(1.56%) 购买

成立日期:2005-12-23 基金经理:-- 类型:混合型     广发基金 资产规模:26.15亿元(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
资产负债表
其他基金基金费率查询:
资产2013-12-312013-06-302012-12-312012-06-30
资产:
银行存款1,262,845,000.001,865,870,000.003,408,886,000.001,522,783,000.00
结算备付金10,250,290.0017,491,270.002,782,437.006,798,641.00
存出保证金4,223,231.005,182,430.008,263,252.007,333,105.00
交易性金融资产15,295,160,000.0015,330,990,000.0014,272,660,000.0015,244,630,000.00
其中:股票投资15,295,160,000.0015,330,990,000.0013,269,180,000.0014,225,210,000.00
其中:基金投资---------0.00
其中:债券投资------1,003,477,000.001,019,419,000.00
其中:资产支持证券投资---------0.00
衍生金融资产---------0.00
买入返售金融资产1,427,410,000.001,635,962,000.001,277,793,000.002,780,597,000.00
应收证券清算款95,994,840.00------51,507,380.00
应收利息1,178,744.001,436,107.006,540,594.0026,000,410.00
应收股利---5,876,361.00---0.00
应收申购款1,701,307.00310,121,200.001,878,355.002,328,831.00
递延所得税资产------------
其他资产---------0.00
资产总计18,098,770,000.0019,172,930,000.0018,978,800,000.0019,641,980,000.00
负债和所有者权益2013-12-312013-06-302012-12-312012-06-30
负债:
短期借款---------0.00
交易性金融负债---------0.00
衍生金融负债---------0.00
卖出回购金融资产款---------0.00
应付证券清算款18,747,350.00676,302,100.00121,586,400.000.00
应付赎回款28,967,400.008,239,455.0011,728,250.009,368,534.00
应付管理人报酬22,869,040.0023,140,750.0022,894,070.0024,488,490.00
应付托管费3,811,507.003,856,792.003,815,678.004,081,416.00
应付销售服务费---------0.00
应付税费---------0.00
应付利息---------0.00
应收利润---------0.00
递延所得税负债------------
其他负债1,310,847.001,218,499.001,118,825.001,227,923.00
负债合计86,603,410.00730,794,400.00168,963,000.0045,787,550.00
所有者权益:
实收基金5,788,759,000.006,381,183,000.006,533,971,000.006,660,645,000.00
所有者权益合计18,012,160,000.0018,442,140,000.0018,809,840,000.0019,596,190,000.00
负债和所有者权益合计18,098,770,000.0019,172,930,000.0018,978,800,000.0019,641,980,000.00