广发安宏回报混合A
(001761.jj)广发基金管理有限公司
成立日期2015-12-30
总资产规模
6,797.56万 (2024-06-30)
基金类型混合型当前净值0.7277基金经理罗洋管理费用率0.60%管托费用率0.15%持仓换手率573.86% (2023-12-31) 成立以来分红再投入年化收益率-0.48%
备注 (0): 双击编辑备注
发表讨论

广发安宏回报混合A(001761) - 历史基金净值数据曲线

最后更新于:2024-07-31

数据选项
加载中......
广发安宏回报混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-310.72771.0826
2024-07-300.70741.0623
2024-07-290.71501.0699
2024-07-260.72221.0771
2024-07-250.71331.0682
2024-07-240.71711.0720
2024-07-230.72221.0771
2024-07-220.74411.0990
2024-07-190.75111.1060
2024-07-180.75211.1070
2024-07-170.74621.1011
2024-07-160.75331.1082
2024-07-150.75141.1063
2024-07-120.75391.1088
2024-07-110.75741.1123
2024-07-100.74741.1023
2024-07-090.75821.1131
2024-07-080.75361.1085
2024-07-050.76181.1167
2024-07-040.76071.1156
2024-07-030.76701.1219
2024-07-020.76971.1246
2024-07-010.77501.1299
2024-06-280.76681.1217
2024-06-270.76621.1211
2024-06-260.77881.1337
2024-06-250.77361.1285
2024-06-240.77811.1330
2024-06-210.78841.1433
2024-06-200.79281.1477
2024-06-190.79471.1496
2024-06-180.80171.1566
2024-06-170.80051.1554
2024-06-140.80491.1598
2024-06-130.80441.1593
2024-06-120.81071.1656
2024-06-110.80951.1644
2024-06-070.81411.1690
2024-06-060.82311.1780
2024-06-050.82981.1847
2024-06-040.83931.1942
2024-06-030.83011.1850
2024-05-310.83241.1873
2024-05-300.82981.1847
2024-05-290.84061.1955
2024-05-280.83511.1900
2024-05-270.84131.1962
2024-05-240.83771.1926
2024-05-230.84341.1983
2024-05-220.85731.2122