广发鑫享混合A
(002132.jj)广发基金管理有限公司持有人户数15.33万
成立日期2016-01-15
总资产规模
22.19亿 (2024-09-30)
基金类型混合型当前净值1.9175基金经理郑澄然管理费用率1.00%管托费用率0.20%持仓换手率838.33% (2024-06-30) 成立以来分红再投入年化收益率7.56%
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广发鑫享混合A(002132) - 历史基金净值数据曲线

最后更新于:2024-12-20

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广发鑫享混合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
2024-12-201.91751.9175
2024-12-191.92671.9267
2024-12-181.92621.9262
2024-12-171.90961.9096
2024-12-161.91941.9194
2024-12-131.93911.9391
2024-12-121.98081.9808
2024-12-111.96581.9658
2024-12-101.96061.9606
2024-12-091.96401.9640
2024-12-061.96371.9637
2024-12-051.93101.9310
2024-12-041.93081.9308
2024-12-031.96741.9674
2024-12-021.96671.9667
2024-11-291.95251.9525
2024-11-281.92651.9265
2024-11-271.94151.9415
2024-11-261.90781.9078
2024-11-251.90731.9073
2024-11-221.90141.9014
2024-11-211.97271.9727
2024-11-201.97831.9783
2024-11-191.96651.9665
2024-11-181.93511.9351
2024-11-151.95631.9563
2024-11-142.01172.0117
2024-11-132.05032.0503
2024-11-122.06182.0618
2024-11-112.07622.0762
2024-11-082.06352.0635
2024-11-072.08222.0822
2024-11-062.06462.0646
2024-11-052.06192.0619
2024-11-042.02982.0298
2024-11-012.02422.0242
2024-10-312.03652.0365
2024-10-302.01482.0148
2024-10-292.02302.0230
2024-10-282.06972.0697
2024-10-252.07982.0798
2024-10-241.96591.9659
2024-10-232.02362.0236
2024-10-221.96801.9680
2024-10-211.92751.9275
2024-10-181.88151.8815
2024-10-171.82601.8260
2024-10-161.84021.8402
2024-10-151.87351.8735
2024-10-141.90241.9024