广发医药健康混合A
(010110.jj)广发基金管理有限公司持有人户数6.48万
成立日期2020-10-21
总资产规模
14.27亿 (2024-09-30)
基金类型混合型当前净值0.4363基金经理吴兴武管理费用率1.20%管托费用率0.20%持仓换手率170.67% (2024-06-30) 成立以来分红再投入年化收益率-18.00%
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广发医药健康混合A(010110) - 历史基金累计净值数据曲线

最后更新于:2024-12-26

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广发医药健康混合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
2024-12-260.43630.4363
2024-12-250.43780.4378
2024-12-240.43980.4398
2024-12-230.43720.4372
2024-12-200.44270.4427
2024-12-190.44170.4417
2024-12-180.44340.4434
2024-12-170.44340.4434
2024-12-160.44530.4453
2024-12-130.45290.4529
2024-12-120.46040.4604
2024-12-110.45770.4577
2024-12-100.45780.4578
2024-12-090.46060.4606
2024-12-060.45750.4575
2024-12-050.45320.4532
2024-12-040.45600.4560
2024-12-030.46090.4609
2024-12-020.45970.4597
2024-11-290.45410.4541
2024-11-280.45200.4520
2024-11-270.45900.4590
2024-11-260.44520.4452
2024-11-250.44130.4413
2024-11-220.43810.4381
2024-11-210.45490.4549
2024-11-200.45570.4557
2024-11-190.43840.4384
2024-11-180.43380.4338
2024-11-150.44380.4438
2024-11-140.45000.4500
2024-11-130.45790.4579
2024-11-120.46390.4639
2024-11-110.45960.4596
2024-11-080.45870.4587
2024-11-070.45910.4591
2024-11-060.45300.4530
2024-11-050.45540.4554
2024-11-040.45210.4521
2024-11-010.44470.4447
2024-10-310.44190.4419
2024-10-300.44440.4444
2024-10-290.45140.4514
2024-10-280.46210.4621
2024-10-250.46400.4640
2024-10-240.46040.4604
2024-10-230.46520.4652
2024-10-220.46510.4651
2024-10-210.46460.4646
2024-10-180.46370.4637