广发中证全指可选消费ETF
(159936.sz ) 全指可选 (半年) 广发基金管理有限公司
基金类型指数型基金(ETF)成立日期2014-06-03总资产规模3.00亿 (2025-07-22) 基金场内规模3.00亿 (2025-07-22) 基金净值2.0529 (2025-07-22) 收盘价格2.0520 (2025-07-22) 收盘价涨跌幅0.59%成交金额612.00万折价率0.04%基金经理姚曦管理费用率0.50%管托费用率0.10% (2025-06-24) 持仓换手率24.80% (2024-12-31) 成立以来分红再投入年化收益率6.67% (2025 / 4952)
备注 (2): 双击编辑备注
发表讨论

广发中证全指可选消费ETF(159936) - 历史基金收盘价数据曲线

最后更新于:2025-07-22

数据选项
加载中......
广发中证全指可选消费ETF历史净值,最多展示50条数据。
日期基金收盘价基金净值基金累计净值
2025-07-222.05202.05292.0529
2025-07-212.04002.04292.0429
2025-07-182.03502.03562.0356
2025-07-172.03202.03312.0331
2025-07-162.01702.02102.0210
2025-07-152.01102.01532.0153
2025-07-142.00002.00192.0019
2025-07-111.99201.99521.9952
2025-07-101.98301.98571.9857
2025-07-091.99101.99341.9934
2025-07-081.99902.00142.0014
2025-07-071.98601.99151.9915
2025-07-041.99802.00202.0020
2025-07-031.99902.00172.0017
2025-07-021.98601.98901.9890
2025-07-011.98801.99271.9927
2025-06-301.99001.99111.9911
2025-06-271.98101.98351.9835
2025-06-261.98401.98741.9874
2025-06-252.00202.00562.0056
2025-06-241.98001.98061.9806
2025-06-231.94201.94131.9413
2025-06-201.94801.95021.9502
2025-06-191.95301.95231.9523
2025-06-181.97101.96981.9698
2025-06-171.96701.96661.9666
2025-06-161.97001.97061.9706
2025-06-131.97601.97681.9768
2025-06-122.00502.00502.0050
2025-06-112.00802.01062.0106
2025-06-101.98901.98921.9892
2025-06-091.99601.99821.9982
2025-06-062.00502.00472.0047
2025-06-052.01302.01492.0149
2025-06-042.01002.01072.0107
2025-06-032.00002.00002.0000
2025-05-302.02302.01812.0181
2025-05-292.04002.03962.0396
2025-05-282.02802.02872.0287
2025-05-272.03302.03312.0331
2025-05-262.05402.05242.0524
2025-05-232.09402.08992.0899
2025-05-222.08502.08822.0882
2025-05-212.08802.09052.0905
2025-05-202.08202.08352.0835
2025-05-192.05302.05512.0551
2025-05-162.05602.05762.0576
2025-05-152.03802.04052.0405
2025-05-142.05102.05452.0545
2025-05-132.04502.05082.0508