广发证券资产管理(广东)有限公司
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广发资产管理 2021年4季度 费用分析 基金明细一览 (全部)
截止至:2021-12-31
序号 | 基金代码 | 基金名称 | 相关资讯 | 费用合计 | 管理人报酬 | 占比 | 托管费 | 占比 | 交易费 | 占比 | 销售服务费 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 | 870005 | 广发资管核心精选一年持有混合A | 详情 | 3,229.58 | 2,278.36 | 70.55% | 273.40 | 8.47% | 590.76 | 18.29% | 76.84 | 2.38% |
2 | 870008 | 广发乾利一年持有期债券A | 详情 | 4,413.43 | 1,831.66 | 41.50% | 457.91 | 10.38% | 145.23 | 3.29% | 729.76 | 16.54% |
3 | 870009 | 广发平衡精选一年持有混合A | 详情 | 3,113.10 | 938.58 | 30.15% | 281.57 | 9.04% | 1,670.91 | 53.67% | 130.23 | 4.18% |
4 | 870012 | 广发资管睿利3年定开债 | 详情 | 377.93 | 175.03 | 46.31% | 57.30 | 15.16% | 2.81 | 0.74% | 1.98 | 0.52% |
5 | 870015 | 广发资管昭利中短债 | 详情 | 517.04 | 234.92 | 45.43% | 39.15 | 7.57% | 4.29 | 0.83% | 139.27 | 26.94% |
6 | 870017 | 广发资管消费精选灵活配置混合 | 详情 | 895.88 | 537.99 | 60.05% | 112.08 | 12.51% | 200.86 | 22.42% | - | - |
7 | 871003 | 广发资管价值增长灵活配置混合 | 详情 | 2,855.62 | 1,335.71 | 46.77% | 200.36 | 7.02% | 1,218.19 | 42.66% | - | - |
8 | 872003 | 广发乾利一年持有期债券 | 详情 | 4,413.43 | 1,831.66 | 41.50% | 457.91 | 10.38% | 145.23 | 3.29% | 729.76 | 16.54% |
9 | 872014 | 广发乾利一年持有期债券C | 详情 | 4,413.43 | 1,831.66 | 41.50% | 457.91 | 10.38% | 145.23 | 3.29% | 729.76 | 16.54% |
10 | 872015 | 广发资管昭利中短债A | 详情 | 517.04 | 234.92 | 45.43% | 39.15 | 7.57% | 4.29 | 0.83% | 139.27 | 26.94% |
11 | 872016 | 广发资管昭利中短债B | 详情 | 517.04 | 234.92 | 45.43% | 39.15 | 7.57% | 4.29 | 0.83% | 139.27 | 26.94% |
12 | 872017 | 广发资管昭利中短债C | 详情 | 517.04 | 234.92 | 45.43% | 39.15 | 7.57% | 4.29 | 0.83% | 139.27 | 26.94% |
13 | 872018 | 广发平衡精选一年持有混合 | 详情 | 3,113.10 | 938.58 | 30.15% | 281.57 | 9.04% | 1,670.91 | 53.67% | 130.23 | 4.18% |
14 | 872019 | 广发平衡精选一年持有混合C | 详情 | 3,113.10 | 938.58 | 30.15% | 281.57 | 9.04% | 1,670.91 | 53.67% | 130.23 | 4.18% |
15 | 872020 | 广发资管核心精选一年持有混合 | 详情 | 3,229.58 | 2,278.36 | 70.55% | 273.40 | 8.47% | 590.76 | 18.29% | 76.84 | 2.38% |
16 | 872021 | 广发资管核心精选一年持有混合C | 详情 | 3,229.58 | 2,278.36 | 70.55% | 273.40 | 8.47% | 590.76 | 18.29% | 76.84 | 2.38% |
17 | 872022 | 广发资管睿利3年定开债A | 详情 | 377.93 | 175.03 | 46.31% | 57.30 | 15.16% | 2.81 | 0.74% | 1.98 | 0.52% |
18 | 872023 | 广发资管睿利3年定开债B | 详情 | 377.93 | 175.03 | 46.31% | 57.30 | 15.16% | 2.81 | 0.74% | 1.98 | 0.52% |
19 | 872024 | 广发资管睿利3年定开债C | 详情 | 377.93 | 175.03 | 46.31% | 57.30 | 15.16% | 2.81 | 0.74% | 1.98 | 0.52% |
20 | 873002 | 广发资管全球精选一年持有期债券(QDII) | 详情 | 82.45 | 38.33 | 46.49% | 28.11 | 34.09% | - | - | 10.35 | 12.55% |
21 | 873013 | 广发全球精选一年持有债券(QDII)人民币A | 详情 | 82.45 | 38.33 | 46.49% | 28.11 | 34.09% | - | - | 10.35 | 12.55% |
22 | 873017 | 广发全球精选一年持有债券(QDII)人民币C | 详情 | 82.45 | 38.33 | 46.49% | 28.11 | 34.09% | - | - | 10.35 | 12.55% |
23 | 873018 | 广发全球精选一年持有债券(QDII)美元A | 详情 | 82.45 | 38.33 | 46.49% | 28.11 | 34.09% | - | - | 10.35 | 12.55% |
24 | 873021 | 广发全球精选一年持有债券(QDII)美元C | 详情 | 82.45 | 38.33 | 46.49% | 28.11 | 34.09% | - | - | 10.35 | 12.55% |
广发资产管理 2021年2季度 费用分析 基金明细一览 (全部)
截止至:2021-06-30
序号 | 基金代码 | 基金名称 | 相关资讯 | 费用合计 | 管理人报酬 | 占比 | 托管费 | 占比 | 交易费 | 占比 | 销售服务费 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 | 870005 | 广发资管核心精选一年持有混合A | 详情 | 304.41 | 169.72 | 55.76% | 20.37 | 6.69% | 107.71 | 35.38% | 5.11 | 1.68% |
2 | 870008 | 广发乾利一年持有期债券A | 详情 | 2,746.04 | 1,181.22 | 43.02% | 295.30 | 10.75% | 77.66 | 2.83% | 515.01 | 18.75% |
3 | 870009 | 广发平衡精选一年持有混合A | 详情 | 1,112.55 | 353.12 | 31.74% | 105.94 | 9.52% | 555.48 | 49.93% | 50.21 | 4.51% |
4 | 870015 | 广发资管昭利中短债 | 详情 | 66.48 | 23.90 | 35.95% | 3.98 | 5.99% | 0.28 | 0.42% | 17.18 | 25.85% |
5 | 870017 | 广发资管消费精选灵活配置混合 | 详情 | 528.05 | 312.95 | 59.26% | 65.20 | 12.35% | 111.99 | 21.21% | - | - |
6 | 871003 | 广发资管价值增长灵活配置混合 | 详情 | 1,468.13 | 717.08 | 48.84% | 107.56 | 7.33% | 579.64 | 39.48% | - | - |
7 | 872003 | 广发乾利一年持有期债券 | 详情 | 2,746.04 | 1,181.22 | 43.02% | 295.30 | 10.75% | 77.66 | 2.83% | 515.01 | 18.75% |
8 | 872014 | 广发乾利一年持有期债券C | 详情 | 2,746.04 | 1,181.22 | 43.02% | 295.30 | 10.75% | 77.66 | 2.83% | 515.01 | 18.75% |
9 | 872015 | 广发资管昭利中短债A | 详情 | 66.48 | 23.90 | 35.95% | 3.98 | 5.99% | 0.28 | 0.42% | 17.18 | 25.85% |
10 | 872016 | 广发资管昭利中短债B | 详情 | 66.48 | 23.90 | 35.95% | 3.98 | 5.99% | 0.28 | 0.42% | 17.18 | 25.85% |
11 | 872017 | 广发资管昭利中短债C | 详情 | 66.48 | 23.90 | 35.95% | 3.98 | 5.99% | 0.28 | 0.42% | 17.18 | 25.85% |
12 | 872018 | 广发平衡精选一年持有混合 | 详情 | 1,112.55 | 353.12 | 31.74% | 105.94 | 9.52% | 555.48 | 49.93% | 50.21 | 4.51% |
13 | 872019 | 广发平衡精选一年持有混合C | 详情 | 1,112.55 | 353.12 | 31.74% | 105.94 | 9.52% | 555.48 | 49.93% | 50.21 | 4.51% |
14 | 872020 | 广发资管核心精选一年持有混合 | 详情 | 304.41 | 169.72 | 55.76% | 20.37 | 6.69% | 107.71 | 35.38% | 5.11 | 1.68% |
15 | 872021 | 广发资管核心精选一年持有混合C | 详情 | 304.41 | 169.72 | 55.76% | 20.37 | 6.69% | 107.71 | 35.38% | 5.11 | 1.68% |
16 | 873002 | 广发资管全球精选一年持有期债券(QDII) | 详情 | 29.43 | 13.78 | 46.82% | 10.10 | 34.33% | - | - | 3.67 | 12.48% |
17 | 873013 | 广发全球精选一年持有债券(QDII)人民币A | 详情 | 29.43 | 13.78 | 46.82% | 10.10 | 34.33% | - | - | 3.67 | 12.48% |
18 | 873017 | 广发全球精选一年持有债券(QDII)人民币C | 详情 | 29.43 | 13.78 | 46.82% | 10.10 | 34.33% | - | - | 3.67 | 12.48% |
19 | 873018 | 广发全球精选一年持有债券(QDII)美元A | 详情 | 29.43 | 13.78 | 46.82% | 10.10 | 34.33% | - | - | 3.67 | 12.48% |
20 | 873021 | 广发全球精选一年持有债券(QDII)美元C | 详情 | 29.43 | 13.78 | 46.82% | 10.10 | 34.33% | - | - | 3.67 | 12.48% |