广发新经济混合C
(010134.jj)广发基金管理有限公司持有人户数3,929.00
成立日期2020-09-22
总资产规模
4,798.46万 (2024-09-30)
基金类型混合型当前净值2.3553基金经理邱璟旻管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-13.63%
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广发新经济混合C(010134) - 历史基金净值数据曲线

最后更新于:2024-11-12

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广发新经济混合C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-11-122.35532.3553
2024-11-112.36502.3650
2024-11-082.31762.3176
2024-11-072.33662.3366
2024-11-062.31392.3139
2024-11-052.32262.3226
2024-11-042.25522.2552
2024-11-012.22062.2206
2024-10-312.25442.2544
2024-10-302.26442.2644
2024-10-292.27982.2798
2024-10-282.29072.2907
2024-10-252.27292.2729
2024-10-242.24502.2450
2024-10-232.25922.2592
2024-10-222.28162.2816
2024-10-212.25592.2559
2024-10-182.24652.2465
2024-10-172.15882.1588
2024-10-162.16372.1637
2024-10-152.19482.1948
2024-10-142.26692.2669
2024-10-112.21502.2150
2024-10-102.27372.2737
2024-10-092.25602.2560
2024-10-082.42442.4244
2024-09-302.30362.3036
2024-09-272.12502.1250
2024-09-262.04602.0460
2024-09-252.00952.0095
2024-09-242.01112.0111
2024-09-231.93541.9354
2024-09-201.93721.9372
2024-09-191.93991.9399
2024-09-181.94141.9414
2024-09-131.94401.9440
2024-09-121.94241.9424
2024-09-111.94111.9411
2024-09-101.93591.9359
2024-09-091.92011.9201
2024-09-061.92991.9299
2024-09-051.96111.9611
2024-09-041.96051.9605
2024-09-031.98301.9830
2024-09-021.97851.9785
2024-08-302.01132.0113
2024-08-291.96381.9638
2024-08-281.96231.9623
2024-08-271.95661.9566
2024-08-261.97941.9794