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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
资产负债表
其他基金基金费率查询:
资产2011-12-312011-06-302010-12-312010-06-30
资产:
银行存款371,793,900.00132,578,600.00350,968,800.00209,065,300.00
结算备付金226,462.701,968,675.005,298,554.004,625,568.00
存出保证金2,214,913.002,436,420.006,032,918.002,461,315.00
交易性金融资产2,869,872,000.002,283,135,000.002,802,691,000.002,800,993,000.00
其中:股票投资2,869,872,000.002,283,135,000.002,802,691,000.002,800,993,000.00
其中:基金投资0.000.000.000.00
其中:债券投资0.000.000.000.00
其中:资产支持证券投资0.000.000.000.00
衍生金融资产0.000.000.000.00
买入返售金融资产0.000.000.000.00
应收证券清算款0.009,712,195.000.000.00
应收利息51,323.3622,796.1934,439.2346,947.58
应收股利0.000.000.0037,395.27
应收申购款3,960,142.004,424,907.0015,921,060.005,087,980.00
递延所得税资产------------
其他资产0.000.000.000.00
资产总计3,248,119,000.002,434,279,000.003,180,947,000.003,022,317,000.00
负债和所有者权益2011-12-312011-06-302010-12-312010-06-30
负债:
短期借款0.000.000.000.00
交易性金融负债0.000.000.000.00
衍生金融负债0.000.000.000.00
卖出回购金融资产款0.000.000.000.00
应付证券清算款141,845,700.000.0098,904,340.000.00
应付赎回款8,641,404.005,094,737.004,148,625.004,275,108.00
应付管理人报酬4,159,782.002,843,873.003,596,286.003,950,093.00
应付托管费693,297.00473,978.80599,381.00658,348.80
应付销售服务费0.000.000.000.00
应付税费0.000.000.000.00
应付利息0.000.000.000.00
应收利润0.000.000.000.00
递延所得税负债------------
其他负债318,559.20204,920.5096,273.67204,849.50
负债合计158,395,300.0010,492,990.00110,475,000.0012,344,140.00
所有者权益:
实收基金3,129,722,000.002,149,614,000.002,536,838,000.003,445,629,000.00
所有者权益合计3,089,724,000.002,423,786,000.003,070,472,000.003,009,973,000.00
负债和所有者权益合计3,248,119,000.002,434,279,000.003,180,947,000.003,022,317,000.00