广发核心优选六个月持有混合(FOF)C
(011753)公募FOF
0.9922
1.23%+0.0122
单位净值 [2025-09-24]
- 最近一月:5.25%
- 最近一季:18.49%
- 最近半年:18.43%
- 今年以来:21.10%
- 最近一年:35.45%
- 最近两年:8.82%
- 最近三年:1.40%
- 成立以来:-0.78%
- 成立日期:2021-04-27
- 基金经理:杨喆
- 产品类型:契约型开放式
- 最新份额:7.94亿
- 申购状态:可以申购
- 最新规模:27.84亿元
- 投资风格:
- 管理公司:广发
重仓持基明细
查询指定年度的基金持仓:
季报日期: 2024-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.60% |
5051.20 |
17894.89 |
0.00 (-0.58%) |
2 |
000118 |
广发聚鑫债券A |
6.13% |
10895.69 |
16621.37 |
0.00 (-0.35%) |
3 |
270022 |
广发内需增长混合A |
5.57% |
8601.09 |
15086.31 |
0.00 (0.21%) |
4 |
002132 |
广发鑫享混合A |
4.22% |
6074.08 |
11425.95 |
0.00 (-0.13%) |
5 |
010236 |
广发电子信息传媒股票C |
3.93% |
4939.34 |
10644.27 |
0.00 (-0.38%) |
6 |
159952 |
广发创业板ETF |
3.79% |
8003.05 |
10267.91 |
新增 |
7 |
270008 |
广发核心精选混合 |
3.68% |
2355.24 |
9969.72 |
0.00 (0.12%) |
8 |
270021 |
广发聚瑞混合A |
3.33% |
2452.71 |
9025.23 |
0.00 (-0.24%) |
9 |
011172 |
广发利鑫混合C |
3.29% |
5265.76 |
8925.46 |
0.00 (0.31%) |
10 |
270025 |
广发行业领先混合A |
3.22% |
5074.30 |
8737.94 |
0.00 (0.19%) |
季报日期: 2024-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.60% |
5051.20 |
17894.89 |
|
0.00 (-0.58%) |
2 |
000118 |
广发聚鑫债券A |
6.13% |
10895.69 |
16621.37 |
|
0.00 (-0.35%) |
3 |
270022 |
广发内需增长混合A |
5.57% |
8601.09 |
15086.31 |
|
0.00 (0.21%) |
4 |
002132 |
广发鑫享混合A |
4.22% |
6074.08 |
11425.95 |
|
0.00 (-0.13%) |
5 |
010236 |
广发电子信息传媒股票C |
3.93% |
4939.34 |
10644.27 |
|
0.00 (-0.38%) |
6 |
159952 |
广发创业板ETF |
3.79% |
8003.05 |
10267.91 |
|
新增 |
7 |
270008 |
广发核心精选混合 |
3.68% |
2355.24 |
9969.72 |
|
0.00 (0.12%) |
8 |
270021 |
广发聚瑞混合A |
3.33% |
2452.71 |
9025.23 |
|
0.00 (-0.24%) |
9 |
011172 |
广发利鑫混合C |
3.29% |
5265.76 |
8925.46 |
|
0.00 (0.31%) |
10 |
270025 |
广发行业领先混合A |
3.22% |
5074.30 |
8737.94 |
|
0.00 (0.19%) |
显示全部持仓明细>>
季报日期: 2024-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.02% |
5051.20 |
17138.22 |
0.00 (-0.86%) |
2 |
000118 |
广发聚鑫债券A |
5.78% |
10895.69 |
16477.55 |
0.00 (0.08%) |
3 |
270022 |
广发内需增长混合A |
5.78% |
8601.09 |
16479.68 |
0.00 (-0.46%) |
4 |
002132 |
广发鑫享混合A |
4.09% |
6074.08 |
11664.67 |
0.00 (-0.83%) |
5 |
270008 |
广发核心精选混合 |
3.80% |
2355.24 |
10827.03 |
0.00 (-0.20%) |
6 |
011172 |
广发利鑫混合C |
3.60% |
5265.76 |
10262.96 |
0.00 (-0.04%) |
7 |
010236 |
广发电子信息传媒股票C |
3.55% |
4939.34 |
10100.94 |
0.00 (-0.17%) |
8 |
270025 |
广发行业领先混合A |
3.41% |
5074.30 |
9702.06 |
0.00 (-0.19%) |
9 |
270006 |
广发策略优选混合 |
3.27% |
3956.33 |
9326.66 |
0.00 (-0.05%) |
10 |
270021 |
广发聚瑞混合A |
3.09% |
2452.71 |
8795.16 |
0.00 (-0.41%) |
季报日期: 2024-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.02% |
5051.20 |
17138.22 |
|
0.00 (-0.86%) |
2 |
000118 |
广发聚鑫债券A |
5.78% |
10895.69 |
16477.55 |
|
0.00 (0.08%) |
3 |
270022 |
广发内需增长混合A |
5.78% |
8601.09 |
16479.68 |
|
0.00 (-0.46%) |
4 |
002132 |
广发鑫享混合A |
4.09% |
6074.08 |
11664.67 |
|
0.00 (-0.83%) |
5 |
270008 |
广发核心精选混合 |
3.80% |
2355.24 |
10827.03 |
|
0.00 (-0.20%) |
6 |
011172 |
广发利鑫混合C |
3.60% |
5265.76 |
10262.96 |
|
0.00 (-0.04%) |
7 |
010236 |
广发电子信息传媒股票C |
3.55% |
4939.34 |
10100.94 |
|
0.00 (-0.17%) |
8 |
270025 |
广发行业领先混合A |
3.41% |
5074.30 |
9702.06 |
|
0.00 (-0.19%) |
9 |
270006 |
广发策略优选混合 |
3.27% |
3956.33 |
9326.66 |
|
0.00 (-0.05%) |
10 |
270021 |
广发聚瑞混合A |
3.09% |
2452.71 |
8795.16 |
|
0.00 (-0.41%) |
显示全部持仓明细>>
季报日期: 2024-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000118 |
广发聚鑫债券A |
5.86% |
10895.69 |
15822.72 |
-38.18 (-0.31%) |
2 |
270022 |
广发内需增长混合A |
5.32% |
8601.09 |
14381.02 |
0.00 (-0.45%) |
3 |
002943 |
广发多因子混合 |
5.16% |
5051.20 |
13934.75 |
1370.00 (1.40%) |
4 |
270008 |
广发核心精选混合 |
3.60% |
2355.24 |
9731.84 |
0.00 (-0.18%) |
5 |
011172 |
广发利鑫混合C |
3.56% |
5265.76 |
9615.27 |
325.00 (0.29%) |
6 |
010236 |
广发电子信息传媒股票C |
3.38% |
4939.34 |
9132.34 |
0.00 (-0.06%) |
7 |
002132 |
广发鑫享混合A |
3.26% |
6074.08 |
8804.38 |
530.00 (0.65%) |
8 |
270006 |
广发策略优选混合 |
3.22% |
3956.33 |
8693.25 |
0.00 (0.12%) |
9 |
270025 |
广发行业领先混合A |
3.22% |
5074.30 |
8692.27 |
0.00 (-0.11%) |
10 |
270021 |
广发聚瑞混合A |
2.68% |
2452.71 |
7248.98 |
0.00 (-0.11%) |
季报日期: 2024-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000118 |
广发聚鑫债券A |
5.86% |
10895.69 |
15822.72 |
|
-38.18 (-0.31%) |
2 |
270022 |
广发内需增长混合A |
5.32% |
8601.09 |
14381.02 |
|
0.00 (-0.45%) |
3 |
002943 |
广发多因子混合 |
5.16% |
5051.20 |
13934.75 |
|
1370.00 (1.40%) |
4 |
270008 |
广发核心精选混合 |
3.60% |
2355.24 |
9731.84 |
|
0.00 (-0.18%) |
5 |
011172 |
广发利鑫混合C |
3.56% |
5265.76 |
9615.27 |
|
325.00 (0.29%) |
6 |
010236 |
广发电子信息传媒股票C |
3.38% |
4939.34 |
9132.34 |
|
0.00 (-0.06%) |
7 |
002132 |
广发鑫享混合A |
3.26% |
6074.08 |
8804.38 |
|
530.00 (0.65%) |
8 |
270006 |
广发策略优选混合 |
3.22% |
3956.33 |
8693.25 |
|
0.00 (0.12%) |
9 |
270025 |
广发行业领先混合A |
3.22% |
5074.30 |
8692.27 |
|
0.00 (-0.11%) |
10 |
270021 |
广发聚瑞混合A |
2.68% |
2452.71 |
7248.98 |
|
0.00 (-0.11%) |
显示全部持仓明细>>
季报日期: 2024-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.56% |
6421.20 |
18734.50 |
1670.00 (1.43%) |
2 |
000118 |
广发聚鑫债券A |
5.55% |
10857.51 |
15843.28 |
0.00 (-0.37%) |
3 |
270022 |
广发内需增长混合A |
4.87% |
8601.09 |
13907.96 |
0.00 (-0.74%) |
4 |
002132 |
广发鑫享混合A |
3.91% |
6604.08 |
11162.88 |
565.00 (0.35%) |
5 |
011172 |
广发利鑫混合C |
3.85% |
5590.76 |
10991.43 |
0.00 (-0.04%) |
6 |
270008 |
广发核心精选混合 |
3.42% |
2355.24 |
9769.53 |
0.00 (-0.36%) |
7 |
270006 |
广发策略优选混合 |
3.34% |
3956.33 |
9524.87 |
0.00 (-0.26%) |
8 |
010236 |
广发电子信息传媒股票C |
3.32% |
4939.34 |
9468.71 |
新增 |
9 |
270025 |
广发行业领先混合A |
3.11% |
5074.30 |
8869.87 |
0.00 (-0.21%) |
10 |
270021 |
广发聚瑞混合A |
2.57% |
2452.71 |
7337.27 |
0.00 (0.18%) |
季报日期: 2024-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
6.56% |
6421.20 |
18734.50 |
|
1670.00 (1.43%) |
2 |
000118 |
广发聚鑫债券A |
5.55% |
10857.51 |
15843.28 |
|
0.00 (-0.37%) |
3 |
270022 |
广发内需增长混合A |
4.87% |
8601.09 |
13907.96 |
|
0.00 (-0.74%) |
4 |
002132 |
广发鑫享混合A |
3.91% |
6604.08 |
11162.88 |
|
565.00 (0.35%) |
5 |
011172 |
广发利鑫混合C |
3.85% |
5590.76 |
10991.43 |
|
0.00 (-0.04%) |
6 |
270008 |
广发核心精选混合 |
3.42% |
2355.24 |
9769.53 |
|
0.00 (-0.36%) |
7 |
270006 |
广发策略优选混合 |
3.34% |
3956.33 |
9524.87 |
|
0.00 (-0.26%) |
8 |
010236 |
广发电子信息传媒股票C |
3.32% |
4939.34 |
9468.71 |
|
新增 |
9 |
270025 |
广发行业领先混合A |
3.11% |
5074.30 |
8869.87 |
|
0.00 (-0.21%) |
10 |
270021 |
广发聚瑞混合A |
2.57% |
2452.71 |
7337.27 |
|
0.00 (0.18%) |
显示全部持仓明细>>
季报日期: 2023-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
7.99% |
8091.20 |
24413.58 |
1091.00 (0.54%) |
2 |
000118 |
广发聚鑫债券A |
5.18% |
10857.51 |
15830.25 |
-76.31 (-0.51%) |
3 |
270028 |
广发制造业精选混合A |
4.79% |
3678.22 |
14631.95 |
280.00 (0.14%) |
4 |
008099 |
广发价值领先混合A |
4.78% |
10496.27 |
14585.62 |
900.00 (0.32%) |
5 |
002132 |
广发鑫享混合A |
4.26% |
7169.08 |
13011.17 |
1811.22 (0.89%) |
6 |
270022 |
广发内需增长混合A |
4.13% |
8601.09 |
12609.19 |
0.00 (-0.15%) |
7 |
011172 |
广发利鑫混合C |
3.81% |
5590.76 |
11634.36 |
0.00 (-0.39%) |
8 |
001734 |
广发百发大数据成长混合A |
3.31% |
7448.41 |
10100.04 |
新增 |
9 |
270006 |
广发策略优选混合 |
3.08% |
3956.33 |
9407.37 |
0.00 (0.01%) |
10 |
270008 |
广发核心精选混合 |
3.06% |
2355.24 |
9357.36 |
0.00 (-0.04%) |
季报日期: 2023-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
7.99% |
8091.20 |
24413.58 |
|
1091.00 (0.54%) |
2 |
000118 |
广发聚鑫债券A |
5.18% |
10857.51 |
15830.25 |
|
-76.31 (-0.51%) |
3 |
270028 |
广发制造业精选混合A |
4.79% |
3678.22 |
14631.95 |
|
280.00 (0.14%) |
4 |
008099 |
广发价值领先混合A |
4.78% |
10496.27 |
14585.62 |
|
900.00 (0.32%) |
5 |
002132 |
广发鑫享混合A |
4.26% |
7169.08 |
13011.17 |
|
1811.22 (0.89%) |
6 |
270022 |
广发内需增长混合A |
4.13% |
8601.09 |
12609.19 |
|
0.00 (-0.15%) |
7 |
011172 |
广发利鑫混合C |
3.81% |
5590.76 |
11634.36 |
|
0.00 (-0.39%) |
8 |
001734 |
广发百发大数据成长混合A |
3.31% |
7448.41 |
10100.04 |
|
新增 |
9 |
270006 |
广发策略优选混合 |
3.08% |
3956.33 |
9407.37 |
|
0.00 (0.01%) |
10 |
270008 |
广发核心精选混合 |
3.06% |
2355.24 |
9357.36 |
|
0.00 (-0.04%) |
显示全部持仓明细>>
季报日期: 2023-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
8.53% |
9182.20 |
29040.55 |
0.00 (-0.37%) |
2 |
002132 |
广发鑫享混合A |
5.15% |
8980.31 |
17525.97 |
0.00 (0.48%) |
3 |
008099 |
广发价值领先混合A |
5.10% |
11396.27 |
17379.31 |
0.00 (-0.28%) |
4 |
270028 |
广发制造业精选混合A |
4.93% |
3958.22 |
16798.67 |
0.00 (0.20%) |
5 |
000118 |
广发聚鑫债券A |
4.67% |
10781.20 |
15895.80 |
-93.71 (-0.46%) |
6 |
270022 |
广发内需增长混合A |
3.98% |
8601.09 |
13546.71 |
0.00 (-0.22%) |
7 |
005233 |
广发睿毅领先混合A |
3.57% |
4810.04 |
12149.67 |
0.00 (-0.27%) |
8 |
011172 |
广发利鑫混合C |
3.42% |
5590.76 |
11651.14 |
0.00 (0.05%) |
9 |
270006 |
广发策略优选混合 |
3.09% |
3956.33 |
10537.29 |
0.00 (-0.01%) |
10 |
270008 |
广发核心精选混合 |
3.02% |
2355.24 |
10275.90 |
0.00 (-0.35%) |
季报日期: 2023-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
8.53% |
9182.20 |
29040.55 |
|
0.00 (-0.37%) |
2 |
002132 |
广发鑫享混合A |
5.15% |
8980.31 |
17525.97 |
|
0.00 (0.48%) |
3 |
008099 |
广发价值领先混合A |
5.10% |
11396.27 |
17379.31 |
|
0.00 (-0.28%) |
4 |
270028 |
广发制造业精选混合A |
4.93% |
3958.22 |
16798.67 |
|
0.00 (0.20%) |
5 |
000118 |
广发聚鑫债券A |
4.67% |
10781.20 |
15895.80 |
|
-93.71 (-0.46%) |
6 |
270022 |
广发内需增长混合A |
3.98% |
8601.09 |
13546.71 |
|
0.00 (-0.22%) |
7 |
005233 |
广发睿毅领先混合A |
3.57% |
4810.04 |
12149.67 |
|
0.00 (-0.27%) |
8 |
011172 |
广发利鑫混合C |
3.42% |
5590.76 |
11651.14 |
|
0.00 (0.05%) |
9 |
270006 |
广发策略优选混合 |
3.09% |
3956.33 |
10537.29 |
|
0.00 (-0.01%) |
10 |
270008 |
广发核心精选混合 |
3.02% |
2355.24 |
10275.90 |
|
0.00 (-0.35%) |
显示全部持仓明细>>
季报日期: 2023-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
8.16% |
9182.20 |
30964.22 |
6390.00 (5.06%) |
2 |
002132 |
广发鑫享混合A |
5.63% |
8980.31 |
21365.05 |
3090.00 (1.80%) |
3 |
270028 |
广发制造业精选混合A |
5.13% |
3958.22 |
19474.43 |
20.00 (-0.28%) |
4 |
008099 |
广发价值领先混合A |
4.82% |
11396.27 |
18285.32 |
0.00 (0.14%) |
5 |
000118 |
广发聚鑫债券A |
4.21% |
10687.49 |
15970.32 |
0.00 (-0.26%) |
6 |
270022 |
广发内需增长混合A |
3.76% |
8601.09 |
14269.20 |
60.00 (-0.17%) |
7 |
011172 |
广发利鑫混合C |
3.47% |
5590.76 |
13166.23 |
0.00 (-0.18%) |
8 |
005233 |
广发睿毅领先混合A |
3.30% |
4810.04 |
12533.03 |
0.00 (0.12%) |
9 |
270006 |
广发策略优选混合 |
3.08% |
3956.33 |
11687.80 |
0.00 (0.09%) |
10 |
001734 |
广发百发大数据成长混合A |
2.72% |
7448.41 |
10323.49 |
新增 |
季报日期: 2023-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
8.16% |
9182.20 |
30964.22 |
|
6390.00 (5.06%) |
2 |
002132 |
广发鑫享混合A |
5.63% |
8980.31 |
21365.05 |
|
3090.00 (1.80%) |
3 |
270028 |
广发制造业精选混合A |
5.13% |
3958.22 |
19474.43 |
|
20.00 (-0.28%) |
4 |
008099 |
广发价值领先混合A |
4.82% |
11396.27 |
18285.32 |
|
0.00 (0.14%) |
5 |
000118 |
广发聚鑫债券A |
4.21% |
10687.49 |
15970.32 |
|
0.00 (-0.26%) |
6 |
270022 |
广发内需增长混合A |
3.76% |
8601.09 |
14269.20 |
|
60.00 (-0.17%) |
7 |
011172 |
广发利鑫混合C |
3.47% |
5590.76 |
13166.23 |
|
0.00 (-0.18%) |
8 |
005233 |
广发睿毅领先混合A |
3.30% |
4810.04 |
12533.03 |
|
0.00 (0.12%) |
9 |
270006 |
广发策略优选混合 |
3.08% |
3956.33 |
11687.80 |
|
0.00 (0.09%) |
10 |
001734 |
广发百发大数据成长混合A |
2.72% |
7448.41 |
10323.49 |
|
新增 |
显示全部持仓明细>>
季报日期: 2023-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
13.22% |
15572.20 |
53716.31 |
0.00 (-1.54%) |
2 |
002132 |
广发鑫享混合A |
7.43% |
12070.31 |
30197.49 |
0.00 (0.55%) |
3 |
008099 |
广发价值领先混合A |
4.96% |
11396.27 |
20146.33 |
0.00 (-0.16%) |
4 |
270028 |
广发制造业精选混合A |
4.85% |
3978.22 |
19712.06 |
0.00 (0.16%) |
5 |
000118 |
广发聚鑫债券A |
3.95% |
10687.49 |
16047.27 |
-14.48 (-0.21%) |
6 |
270022 |
广发内需增长混合A |
3.59% |
8661.09 |
14567.95 |
0.00 (0.01%) |
7 |
270025 |
广发行业领先混合A |
3.55% |
7424.30 |
14417.98 |
新增 |
8 |
005233 |
广发睿毅领先混合A |
3.42% |
4810.04 |
13889.94 |
0.00 (-0.01%) |
9 |
011172 |
广发利鑫混合C |
3.29% |
5590.76 |
13367.50 |
新增 |
10 |
270006 |
广发策略优选混合 |
3.17% |
3956.33 |
12877.07 |
-429.96 (-0.48%) |
季报日期: 2023-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
13.22% |
15572.20 |
53716.31 |
|
0.00 (-1.54%) |
2 |
002132 |
广发鑫享混合A |
7.43% |
12070.31 |
30197.49 |
|
0.00 (0.55%) |
3 |
008099 |
广发价值领先混合A |
4.96% |
11396.27 |
20146.33 |
|
0.00 (-0.16%) |
4 |
270028 |
广发制造业精选混合A |
4.85% |
3978.22 |
19712.06 |
|
0.00 (0.16%) |
5 |
000118 |
广发聚鑫债券A |
3.95% |
10687.49 |
16047.27 |
|
-14.48 (-0.21%) |
6 |
270022 |
广发内需增长混合A |
3.59% |
8661.09 |
14567.95 |
|
0.00 (0.01%) |
7 |
270025 |
广发行业领先混合A |
3.55% |
7424.30 |
14417.98 |
|
新增 |
8 |
005233 |
广发睿毅领先混合A |
3.42% |
4810.04 |
13889.94 |
|
0.00 (-0.01%) |
9 |
011172 |
广发利鑫混合C |
3.29% |
5590.76 |
13367.50 |
|
新增 |
10 |
270006 |
广发策略优选混合 |
3.17% |
3956.33 |
12877.07 |
|
-429.96 (-0.48%) |
显示全部持仓明细>>
季报日期: 2022-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
11.68% |
15572.20 |
48642.89 |
0.00 (-0.84%) |
2 |
002132 |
广发鑫享混合A |
7.98% |
12070.31 |
33217.48 |
0.00 (0.22%) |
3 |
270028 |
广发制造业精选混合A |
5.01% |
3978.22 |
20873.70 |
-547.48 (0.16%) |
4 |
008099 |
广发价值领先混合A |
4.80% |
11396.27 |
19978.80 |
0.00 (-0.48%) |
5 |
000118 |
广发聚鑫债券A |
3.74% |
10673.01 |
15586.86 |
-58.58 (-0.14%) |
6 |
000037 |
广发景宁纯债A |
3.65% |
14384.27 |
15215.68 |
新增 |
7 |
270022 |
广发内需增长混合A |
3.60% |
8661.09 |
14975.02 |
0.00 (-0.12%) |
8 |
005233 |
广发睿毅领先混合A |
3.41% |
4810.04 |
14192.50 |
0.00 (-0.37%) |
9 |
270007 |
广发大盘成长混合 |
2.79% |
5973.19 |
11631.00 |
0.00 (-0.03%) |
10 |
270006 |
广发策略优选混合 |
2.69% |
3526.37 |
11200.47 |
0.00 (-0.05%) |
季报日期: 2022-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
11.68% |
15572.20 |
48642.89 |
|
0.00 (-0.84%) |
2 |
002132 |
广发鑫享混合A |
7.98% |
12070.31 |
33217.48 |
|
0.00 (0.22%) |
3 |
270028 |
广发制造业精选混合A |
5.01% |
3978.22 |
20873.70 |
|
-547.48 (0.16%) |
4 |
008099 |
广发价值领先混合A |
4.80% |
11396.27 |
19978.80 |
|
0.00 (-0.48%) |
5 |
000118 |
广发聚鑫债券A |
3.74% |
10673.01 |
15586.86 |
|
-58.58 (-0.14%) |
6 |
000037 |
广发景宁纯债A |
3.65% |
14384.27 |
15215.68 |
|
新增 |
7 |
270022 |
广发内需增长混合A |
3.60% |
8661.09 |
14975.02 |
|
0.00 (-0.12%) |
8 |
005233 |
广发睿毅领先混合A |
3.41% |
4810.04 |
14192.50 |
|
0.00 (-0.37%) |
9 |
270007 |
广发大盘成长混合 |
2.79% |
5973.19 |
11631.00 |
|
0.00 (-0.03%) |
10 |
270006 |
广发策略优选混合 |
2.69% |
3526.37 |
11200.47 |
|
0.00 (-0.05%) |
显示全部持仓明细>>
季报日期: 2022-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.84% |
15572.20 |
46149.78 |
0.00 (0.49%) |
2 |
002132 |
广发鑫享混合A |
8.20% |
12070.31 |
34881.98 |
0.00 (-0.16%) |
3 |
270028 |
广发制造业精选混合A |
5.17% |
3430.74 |
22018.50 |
0.00 (-0.33%) |
4 |
008099 |
广发价值领先混合A |
4.32% |
11396.27 |
18399.28 |
0.00 (-0.16%) |
5 |
000118 |
广发聚鑫债券A |
3.60% |
10614.43 |
15317.68 |
-76.15 (-0.25%) |
6 |
270022 |
广发内需增长混合A |
3.48% |
8661.09 |
14810.46 |
0.00 (-0.30%) |
7 |
005233 |
广发睿毅领先混合A |
3.04% |
4810.04 |
12949.10 |
0.00 (-0.13%) |
8 |
010433 |
广发新兴产业精选混合C |
2.79% |
4301.98 |
11873.47 |
0.00 (0.14%) |
9 |
270007 |
广发大盘成长混合 |
2.76% |
5973.19 |
11759.42 |
0.00 (0.12%) |
10 |
270006 |
广发策略优选混合 |
2.64% |
3526.37 |
11229.03 |
0.00 (0.04%) |
季报日期: 2022-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.84% |
15572.20 |
46149.78 |
|
0.00 (0.49%) |
2 |
002132 |
广发鑫享混合A |
8.20% |
12070.31 |
34881.98 |
|
0.00 (-0.16%) |
3 |
270028 |
广发制造业精选混合A |
5.17% |
3430.74 |
22018.50 |
|
0.00 (-0.33%) |
4 |
008099 |
广发价值领先混合A |
4.32% |
11396.27 |
18399.28 |
|
0.00 (-0.16%) |
5 |
000118 |
广发聚鑫债券A |
3.60% |
10614.43 |
15317.68 |
|
-76.15 (-0.25%) |
6 |
270022 |
广发内需增长混合A |
3.48% |
8661.09 |
14810.46 |
|
0.00 (-0.30%) |
7 |
005233 |
广发睿毅领先混合A |
3.04% |
4810.04 |
12949.10 |
|
0.00 (-0.13%) |
8 |
010433 |
广发新兴产业精选混合C |
2.79% |
4301.98 |
11873.47 |
|
0.00 (0.14%) |
9 |
270007 |
广发大盘成长混合 |
2.76% |
5973.19 |
11759.42 |
|
0.00 (0.12%) |
10 |
270006 |
广发策略优选混合 |
2.64% |
3526.37 |
11229.03 |
|
0.00 (0.04%) |
显示全部持仓明细>>
季报日期: 2022-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
11.33% |
15572.20 |
53202.43 |
0.00 (-0.41%) |
2 |
002132 |
广发鑫享混合A |
8.04% |
12070.31 |
37778.85 |
0.00 (-0.66%) |
3 |
270028 |
广发制造业精选混合A |
4.84% |
3430.74 |
22732.09 |
0.00 (-0.56%) |
4 |
008099 |
广发价值领先混合A |
4.16% |
11396.27 |
19527.51 |
0.00 (-0.27%) |
5 |
000118 |
广发聚鑫债券A |
3.35% |
10538.28 |
15715.73 |
-98.04 (-0.02%) |
6 |
270022 |
广发内需增长混合A |
3.18% |
8661.09 |
14923.05 |
0.00 (-0.04%) |
7 |
010433 |
广发新兴产业精选混合C |
2.93% |
4301.98 |
13753.43 |
0.00 (-0.31%) |
8 |
005233 |
广发睿毅领先混合A |
2.91% |
4810.04 |
13653.29 |
0.00 (-0.16%) |
9 |
270007 |
广发大盘成长混合 |
2.88% |
5973.19 |
13548.99 |
0.00 (-0.42%) |
10 |
270006 |
广发策略优选混合 |
2.68% |
3526.37 |
12608.90 |
0.00 (-0.10%) |
季报日期: 2022-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
11.33% |
15572.20 |
53202.43 |
|
0.00 (-0.41%) |
2 |
002132 |
广发鑫享混合A |
8.04% |
12070.31 |
37778.85 |
|
0.00 (-0.66%) |
3 |
270028 |
广发制造业精选混合A |
4.84% |
3430.74 |
22732.09 |
|
0.00 (-0.56%) |
4 |
008099 |
广发价值领先混合A |
4.16% |
11396.27 |
19527.51 |
|
0.00 (-0.27%) |
5 |
000118 |
广发聚鑫债券A |
3.35% |
10538.28 |
15715.73 |
|
-98.04 (-0.02%) |
6 |
270022 |
广发内需增长混合A |
3.18% |
8661.09 |
14923.05 |
|
0.00 (-0.04%) |
7 |
010433 |
广发新兴产业精选混合C |
2.93% |
4301.98 |
13753.43 |
|
0.00 (-0.31%) |
8 |
005233 |
广发睿毅领先混合A |
2.91% |
4810.04 |
13653.29 |
|
0.00 (-0.16%) |
9 |
270007 |
广发大盘成长混合 |
2.88% |
5973.19 |
13548.99 |
|
0.00 (-0.42%) |
10 |
270006 |
广发策略优选混合 |
2.68% |
3526.37 |
12608.90 |
|
0.00 (-0.10%) |
显示全部持仓明细>>
季报日期: 2022-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.92% |
15572.20 |
50027.26 |
0.00 (0.01%) |
2 |
002132 |
广发鑫享混合A |
7.38% |
12070.31 |
33816.17 |
0.00 (-0.22%) |
3 |
270028 |
广发制造业精选混合A |
4.28% |
3430.74 |
19603.26 |
-847.49 (-0.82%) |
4 |
008099 |
广发价值领先混合A |
3.89% |
11396.27 |
17803.26 |
0.00 (-0.53%) |
5 |
000118 |
广发聚鑫债券A |
3.33% |
10440.24 |
15258.41 |
5292.93 (1.15%) |
6 |
270022 |
广发内需增长混合A |
3.14% |
8661.09 |
14386.07 |
0.00 (-0.03%) |
7 |
005233 |
广发睿毅领先混合A |
2.75% |
4810.04 |
12611.44 |
0.00 (-0.41%) |
8 |
010433 |
广发新兴产业精选混合C |
2.62% |
4301.98 |
12002.53 |
-3306.64 (-1.99%) |
9 |
270006 |
广发策略优选混合 |
2.58% |
3526.37 |
11825.34 |
0.00 (-0.32%) |
10 |
270007 |
广发大盘成长混合 |
2.46% |
5973.19 |
11252.30 |
0.00 (0.08%) |
季报日期: 2022-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.92% |
15572.20 |
50027.26 |
|
0.00 (0.01%) |
2 |
002132 |
广发鑫享混合A |
7.38% |
12070.31 |
33816.17 |
|
0.00 (-0.22%) |
3 |
270028 |
广发制造业精选混合A |
4.28% |
3430.74 |
19603.26 |
|
-847.49 (-0.82%) |
4 |
008099 |
广发价值领先混合A |
3.89% |
11396.27 |
17803.26 |
|
0.00 (-0.53%) |
5 |
000118 |
广发聚鑫债券A |
3.33% |
10440.24 |
15258.41 |
|
5292.93 (1.15%) |
6 |
270022 |
广发内需增长混合A |
3.14% |
8661.09 |
14386.07 |
|
0.00 (-0.03%) |
7 |
005233 |
广发睿毅领先混合A |
2.75% |
4810.04 |
12611.44 |
|
0.00 (-0.41%) |
8 |
010433 |
广发新兴产业精选混合C |
2.62% |
4301.98 |
12002.53 |
|
-3306.64 (-1.99%) |
9 |
270006 |
广发策略优选混合 |
2.58% |
3526.37 |
11825.34 |
|
0.00 (-0.32%) |
10 |
270007 |
广发大盘成长混合 |
2.46% |
5973.19 |
11252.30 |
|
0.00 (0.08%) |
显示全部持仓明细>>
季报日期: 2021-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.93% |
15572.20 |
59646.21 |
-1394.28 (-3.67%) |
2 |
002132 |
广发鑫享混合A |
7.16% |
12070.31 |
39059.51 |
-607.20 (-2.26%) |
3 |
000118 |
广发聚鑫债券A |
4.48% |
15733.17 |
24417.87 |
840.57 (-0.86%) |
4 |
008638 |
广发科技创新混合A |
3.53% |
9336.72 |
19250.45 |
4400.00 (0.27%) |
5 |
270028 |
广发制造业精选混合A |
3.46% |
2583.25 |
18873.23 |
新增 |
6 |
008099 |
广发价值领先混合A |
3.36% |
11396.27 |
18342.30 |
新增 |
7 |
270022 |
广发内需增长混合A |
3.11% |
8661.09 |
16958.41 |
新增 |
8 |
000191 |
富国信用债债券A/B |
2.86% |
13239.84 |
15607.12 |
4300.00 (0.05%) |
9 |
519752 |
交银新回报灵活配置混合A |
2.85% |
10050.31 |
15567.93 |
0.00 (-0.66%) |
10 |
007584 |
鹏华丰鑫债券A |
2.81% |
14654.63 |
15306.76 |
3707.38 (-0.06%) |
季报日期: 2021-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
10.93% |
15572.20 |
59646.21 |
|
-1394.28 (-3.67%) |
2 |
002132 |
广发鑫享混合A |
7.16% |
12070.31 |
39059.51 |
|
-607.20 (-2.26%) |
3 |
000118 |
广发聚鑫债券A |
4.48% |
15733.17 |
24417.87 |
|
840.57 (-0.86%) |
4 |
008638 |
广发科技创新混合A |
3.53% |
9336.72 |
19250.45 |
|
4400.00 (0.27%) |
5 |
270028 |
广发制造业精选混合A |
3.46% |
2583.25 |
18873.23 |
|
新增 |
6 |
008099 |
广发价值领先混合A |
3.36% |
11396.27 |
18342.30 |
|
新增 |
7 |
270022 |
广发内需增长混合A |
3.11% |
8661.09 |
16958.41 |
|
新增 |
8 |
000191 |
富国信用债债券A/B |
2.86% |
13239.84 |
15607.12 |
|
4300.00 (0.05%) |
9 |
519752 |
交银新回报灵活配置混合A |
2.85% |
10050.31 |
15567.93 |
|
0.00 (-0.66%) |
10 |
007584 |
鹏华丰鑫债券A |
2.81% |
14654.63 |
15306.76 |
|
3707.38 (-0.06%) |
显示全部持仓明细>>
季报日期: 2021-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
7.26% |
14177.92 |
50825.01 |
-11378.75 (-6.08%) |
2 |
002132 |
广发鑫享混合A |
4.90% |
11463.11 |
34354.93 |
新增 |
3 |
008638 |
广发科技创新混合A |
3.80% |
13736.72 |
26586.05 |
-8208.60 (-2.45%) |
4 |
000118 |
广发聚鑫债券A |
3.62% |
16573.74 |
25382.68 |
-3375.39 (-0.75%) |
5 |
000191 |
富国信用债债券A/B |
2.91% |
17539.84 |
20356.74 |
0.00 (-0.06%) |
6 |
007584 |
鹏华丰鑫债券A |
2.75% |
18362.01 |
19280.11 |
-3889.94 (-0.62%) |
7 |
003044 |
东方红战略精选混合A |
2.34% |
12486.99 |
16366.70 |
3000.00 (0.52%) |
8 |
270042 |
广发纳指100ETF联接人民币(QDII)A |
2.22% |
3707.36 |
15581.67 |
-1181.73 (-0.74%) |
9 |
001316 |
安信稳健增值混合A |
2.21% |
10353.81 |
15481.01 |
-3438.25 (-0.79%) |
10 |
519752 |
交银新回报灵活配置混合A |
2.19% |
10050.31 |
15316.68 |
-3261.51 (-0.75%) |
季报日期: 2021-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002943 |
广发多因子混合 |
7.26% |
14177.92 |
50825.01 |
|
-11378.75 (-6.08%) |
2 |
002132 |
广发鑫享混合A |
4.90% |
11463.11 |
34354.93 |
|
新增 |
3 |
008638 |
广发科技创新混合A |
3.80% |
13736.72 |
26586.05 |
|
-8208.60 (-2.45%) |
4 |
000118 |
广发聚鑫债券A |
3.62% |
16573.74 |
25382.68 |
|
-3375.39 (-0.75%) |
5 |
000191 |
富国信用债债券A/B |
2.91% |
17539.84 |
20356.74 |
|
0.00 (-0.06%) |
6 |
007584 |
鹏华丰鑫债券A |
2.75% |
18362.01 |
19280.11 |
|
-3889.94 (-0.62%) |
7 |
003044 |
东方红战略精选混合A |
2.34% |
12486.99 |
16366.70 |
|
3000.00 (0.52%) |
8 |
270042 |
广发纳指100ETF联接人民币(QDII)A |
2.22% |
3707.36 |
15581.67 |
|
-1181.73 (-0.74%) |
9 |
001316 |
安信稳健增值混合A |
2.21% |
10353.81 |
15481.01 |
|
-3438.25 (-0.79%) |
10 |
519752 |
交银新回报灵活配置混合A |
2.19% |
10050.31 |
15316.68 |
|
-3261.51 (-0.75%) |
显示全部持仓明细>>
季报日期: 2021-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000118 |
广发聚鑫债券A |
2.87% |
13198.35 |
20246.26 |
0.00 (新增) |
2 |
003044 |
东方红战略精选混合A |
2.86% |
15486.99 |
20236.85 |
0.00 (新增) |
3 |
000191 |
富国信用债债券A/B |
2.85% |
17539.84 |
20130.47 |
0.00 (新增) |
4 |
006020 |
广发沪深300指数增强A |
2.85% |
10441.15 |
20147.25 |
0.00 (新增) |
5 |
000024 |
大摩双利增强债券A |
2.66% |
16041.07 |
18768.05 |
0.00 (新增) |
6 |
005233 |
广发睿毅领先混合A |
2.63% |
7012.94 |
18615.84 |
0.00 (新增) |
7 |
008099 |
广发价值领先混合A |
2.59% |
10776.61 |
18335.33 |
0.00 (新增) |
8 |
004851 |
广发医疗保健股票A |
2.18% |
3693.81 |
15403.55 |
0.00 (新增) |
9 |
007584 |
鹏华丰鑫债券A |
2.13% |
14472.06 |
15081.34 |
0.00 (新增) |
10 |
000171 |
易方达裕丰回报债券A |
2.05% |
6660.28 |
14466.12 |
0.00 (新增) |
季报日期: 2021-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000118 |
广发聚鑫债券A |
2.87% |
13198.35 |
20246.26 |
|
0.00 (新增) |
2 |
003044 |
东方红战略精选混合A |
2.86% |
15486.99 |
20236.85 |
|
0.00 (新增) |
3 |
000191 |
富国信用债债券A/B |
2.85% |
17539.84 |
20130.47 |
|
0.00 (新增) |
4 |
006020 |
广发沪深300指数增强A |
2.85% |
10441.15 |
20147.25 |
|
0.00 (新增) |
5 |
000024 |
大摩双利增强债券A |
2.66% |
16041.07 |
18768.05 |
|
0.00 (新增) |
6 |
005233 |
广发睿毅领先混合A |
2.63% |
7012.94 |
18615.84 |
|
0.00 (新增) |
7 |
008099 |
广发价值领先混合A |
2.59% |
10776.61 |
18335.33 |
|
0.00 (新增) |
8 |
004851 |
广发医疗保健股票A |
2.18% |
3693.81 |
15403.55 |
|
0.00 (新增) |
9 |
007584 |
鹏华丰鑫债券A |
2.13% |
14472.06 |
15081.34 |
|
0.00 (新增) |
10 |
000171 |
易方达裕丰回报债券A |
2.05% |
6660.28 |
14466.12 |
|
0.00 (新增) |
显示全部持仓明细>>