广发鑫裕混合A
(002134.jj)广发基金管理有限公司
成立日期2016-03-01
总资产规模
3,439.57万 (2024-06-30)
基金类型混合型当前净值1.1680基金经理姚秋刘志辉管理费用率0.60%管托费用率0.15%持仓换手率105.74% (2023-12-31) 成立以来分红再投入年化收益率4.90%
备注 (0): 双击编辑备注
发表讨论

广发鑫裕混合A(002134) - 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......
广发鑫裕混合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
2024-07-311.16801.5179
2024-07-301.13191.4818
2024-07-291.13521.4851
2024-07-261.14661.4965
2024-07-251.13661.4865
2024-07-241.13311.4830
2024-07-231.13781.4877
2024-07-221.15971.5096
2024-07-191.16471.5146
2024-07-181.16541.5153
2024-07-171.15921.5091
2024-07-161.15151.5014
2024-07-151.15461.5045
2024-07-121.15981.5097
2024-07-111.15801.5079
2024-07-101.14471.4946
2024-07-091.14681.4967
2024-07-081.14161.4915
2024-07-051.15681.5067
2024-07-041.15221.5021
2024-07-031.16191.5118
2024-07-021.16371.5136
2024-07-011.17121.5211
2024-06-281.16111.5110
2024-06-271.16421.5141
2024-06-261.17601.5259
2024-06-251.17201.5219
2024-06-241.17011.5200
2024-06-211.18151.5314
2024-06-201.18231.5322
2024-06-191.19251.5424
2024-06-181.19741.5473
2024-06-171.19861.5485
2024-06-141.20311.5530
2024-06-131.19841.5483
2024-06-121.20301.5529
2024-06-111.20591.5558
2024-06-071.20921.5591
2024-06-061.20781.5577
2024-06-051.21291.5628
2024-06-041.22291.5728
2024-06-031.21181.5617
2024-05-311.21641.5663
2024-05-301.21721.5671
2024-05-291.22461.5745
2024-05-281.22441.5743
2024-05-271.23241.5823
2024-05-241.22381.5737
2024-05-231.23001.5799
2024-05-221.24241.5923