广发成长新动能混合C
(013711.jj)广发基金管理有限公司持有人户数3,991.00
成立日期2021-09-23
总资产规模
1.51亿 (2024-09-30)
基金类型混合型当前净值1.1054基金经理郑澄然管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-8.30%
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广发成长新动能混合C(013711) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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广发成长新动能混合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
2024-12-231.10541.1054
2024-12-201.12021.1202
2024-12-191.12391.1239
2024-12-181.13511.1351
2024-12-171.12941.1294
2024-12-161.13611.1361
2024-12-131.15131.1513
2024-12-121.17831.1783
2024-12-111.17411.1741
2024-12-101.17341.1734
2024-12-091.19461.1946
2024-12-061.17831.1783
2024-12-051.15741.1574
2024-12-041.15831.1583
2024-12-031.18241.1824
2024-12-021.18371.1837
2024-11-291.17201.1720
2024-11-281.15501.1550
2024-11-271.16661.1666
2024-11-261.13601.1360
2024-11-251.13031.1303
2024-11-221.12301.1230
2024-11-211.17461.1746
2024-11-201.18551.1855
2024-11-191.16551.1655
2024-11-181.14291.1429
2024-11-151.15731.1573
2024-11-141.19051.1905
2024-11-131.22771.2277
2024-11-121.24831.2483
2024-11-111.26771.2677
2024-11-081.25761.2576
2024-11-071.26071.2607
2024-11-061.27331.2733
2024-11-051.27581.2758
2024-11-041.25891.2589
2024-11-011.25001.2500
2024-10-311.27281.2728
2024-10-301.25551.2555
2024-10-291.25231.2523
2024-10-281.29521.2952
2024-10-251.30441.3044
2024-10-241.20811.2081
2024-10-231.23831.2383
2024-10-221.18571.1857
2024-10-211.15451.1545
2024-10-181.12311.1231
2024-10-171.07321.0732
2024-10-161.07641.0764
2024-10-151.09041.0904