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广发策略优选(270006) 单位净值(2024-03-04):2.3281(0.86%) 购买

成立日期:2006-05-17 基金经理:-- 类型:混合型     广发基金 资产规模:30.65亿元(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2020-12-312019-12-312018-12-312017-12-31
资产:
银行存款232,153,892.34159,646,495.64521,037,246.26244,252,133.08
结算备付金4,097,267.412,701,417.802,141,915.9411,391,037.38
存出保证金636,869.66522,930.83491,781.79834,136.51
交易性金融资产3,910,466,050.403,377,221,659.991,867,088,699.273,754,068,822.00
其中:股票投资3,790,490,050.403,226,555,659.991,867,088,699.273,754,068,822.00
其中:基金投资------------
其中:债券投资119,976,000.00150,666,000.00------
其中:资产支持证券投资------------
衍生金融资产------------
买入返售金融资产------------
应收证券清算款6,845,881.38---42,996,016.933,825,246.49
应收利息2,797,034.842,768,771.0394,999.6759,301.95
应收股利------------
应收申购款442,799.84180,907.39667,443.62444,663.56
递延所得税资产------------
其他资产------------
资产总计4,157,439,795.873,543,042,182.682,434,518,103.484,014,875,340.97
负债和所有者权益2020-12-312019-12-312018-12-312017-12-31
负债:
短期借款------------
交易性金融负债------------
衍生金融负债------------
卖出回购金融资产款------------
应付证券清算款24,099,204.5138,003,675.19---25,037.50
应付赎回款10,589,402.417,243,230.241,305,762.262,784,301.41
应付管理人报酬5,017,089.054,371,220.143,243,571.045,073,186.10
应付托管费836,181.49728,536.67540,595.17845,531.03
应付销售服务费------------
应付税费---1.96------
应付利息------------
应收利润------------
递延所得税负债------------
其他负债208,857.44208,347.33383,702.23350,989.17
负债合计42,447,326.1452,432,374.126,377,807.9417,221,479.63
所有者权益:
实收基金1,351,300,008.661,775,278,742.741,871,419,934.471,978,731,216.84
所有者权益合计4,114,992,469.733,490,609,808.562,428,140,295.543,997,653,861.34
负债和所有者权益合计4,157,439,795.873,543,042,182.682,434,518,103.484,014,875,340.97