广发中债7-10年国开债指数D
(021609.jj)广发基金管理有限公司持有人户数43.00
成立日期2024-06-03
总资产规模
31.45亿 (2024-09-30)
基金类型指数型基金当前净值1.3330基金经理张芊王予柯吴迪管理费用率0.15%管托费用率0.05%成立以来分红再投入年化收益率6.52%
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广发中债7-10年国开债指数D(021609) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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广发中债7-10年国开债指数D历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.33301.3330
2024-12-191.32771.3277
2024-12-181.32571.3257
2024-12-171.32971.3297
2024-12-161.33071.3307
2024-12-131.32441.3244
2024-12-121.31951.3195
2024-12-111.31841.3184
2024-12-101.31631.3163
2024-12-091.30791.3079
2024-12-061.30361.3036
2024-12-051.30431.3043
2024-12-041.30311.3031
2024-12-031.29921.2992
2024-12-021.29951.2995
2024-11-291.29491.2949
2024-11-281.29281.2928
2024-11-271.29041.2904
2024-11-261.29041.2904
2024-11-251.29011.2901
2024-11-221.28801.2880
2024-11-211.28791.2879
2024-11-201.28601.2860
2024-11-191.28631.2863
2024-11-181.28481.2848
2024-11-151.28621.2862
2024-11-141.28651.2865
2024-11-131.28591.2859
2024-11-121.28731.2873
2024-11-111.28461.2846
2024-11-081.28331.2833
2024-11-071.28231.2823
2024-11-061.28121.2812
2024-11-051.28191.2819
2024-11-041.28061.2806
2024-11-011.28011.2801
2024-10-311.27861.2786
2024-10-301.27711.2771
2024-10-291.27721.2772
2024-10-281.27671.2767
2024-10-251.27781.2778
2024-10-241.27751.2775
2024-10-231.27801.2780
2024-10-221.27941.2794
2024-10-211.28191.2819
2024-10-181.28201.2820
2024-10-171.28331.2833
2024-10-161.28101.2810
2024-10-151.28151.2815
2024-10-141.28021.2802