广发优势增长股票
(007750.jj)广发基金管理有限公司
成立日期2019-12-25
总资产规模
1.95亿 (2024-06-30)
基金类型股票型当前净值0.8661持有人户数9,097.00基金经理邱璟旻管理费用率1.20%管托费用率0.20%持仓换手率302.94% (2023-12-31) 成立以来分红再投入年化收益率-2.97%
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广发优势增长股票(007750) - 历史基金累计净值数据曲线

最后更新于:2024-09-30

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广发优势增长股票历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-09-300.86610.8661
2024-09-270.79970.7997
2024-09-260.76970.7697
2024-09-250.75560.7556
2024-09-240.75770.7577
2024-09-230.73140.7314
2024-09-200.73300.7330
2024-09-190.73540.7354
2024-09-180.73570.7357
2024-09-130.73650.7365
2024-09-120.73540.7354
2024-09-110.73630.7363
2024-09-100.73140.7314
2024-09-090.72710.7271
2024-09-060.73020.7302
2024-09-050.74270.7427
2024-09-040.74170.7417
2024-09-030.75020.7502
2024-09-020.74580.7458
2024-08-300.75790.7579
2024-08-290.73850.7385
2024-08-280.73030.7303
2024-08-270.72580.7258
2024-08-260.73420.7342
2024-08-230.73830.7383
2024-08-220.73930.7393
2024-08-210.73980.7398
2024-08-200.74080.7408
2024-08-190.75020.7502
2024-08-160.74720.7472
2024-08-150.74500.7450
2024-08-140.74590.7459
2024-08-130.75710.7571
2024-08-120.75320.7532
2024-08-090.75100.7510
2024-08-080.74630.7463
2024-08-070.74890.7489
2024-08-060.75050.7505
2024-08-050.74300.7430
2024-08-020.76630.7663
2024-08-010.78010.7801
2024-07-310.78550.7855
2024-07-300.76120.7612
2024-07-290.77160.7716
2024-07-260.77740.7774
2024-07-250.76040.7604
2024-07-240.76730.7673
2024-07-230.77510.7751
2024-07-220.79690.7969
2024-07-190.79750.7975