广发逆向策略混合A
(000747.jj ) 广发基金管理有限公司
基金类型混合型成立日期2014-09-04总资产规模1.29亿 (2025-09-30) 基金净值3.4791 (2025-12-25) 基金经理程琨管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率74.54% (2025-06-30) 成立以来分红再投入年化收益率11.66% (1771 / 8947)
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广发逆向策略混合A(000747) - 历史基金净值数据曲线

最后更新于:2025-12-25

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广发逆向策略混合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
2025-12-253.47913.4791
2025-12-243.46123.4612
2025-12-233.45423.4542
2025-12-223.44613.4461
2025-12-193.42563.4256
2025-12-183.41713.4171
2025-12-173.43153.4315
2025-12-163.36953.3695
2025-12-153.41863.4186
2025-12-123.41913.4191
2025-12-113.37143.3714
2025-12-103.37963.3796
2025-12-093.34273.3427
2025-12-083.38263.3826
2025-12-053.39573.3957
2025-12-043.36373.3637
2025-12-033.35433.3543
2025-12-023.33393.3339
2025-12-013.34213.3421
2025-11-283.31103.3110
2025-11-273.29433.2943
2025-11-263.27443.2744
2025-11-253.28563.2856
2025-11-243.26723.2672
2025-11-213.26653.2665
2025-11-203.32413.3241
2025-11-193.34483.3448
2025-11-183.32343.3234
2025-11-173.36013.3601
2025-11-143.40723.4072
2025-11-133.45383.4538
2025-11-123.42643.4264
2025-11-113.41493.4149
2025-11-103.43413.4341
2025-11-073.40303.4030
2025-11-063.41803.4180
2025-11-053.34783.3478
2025-11-043.31493.3149
2025-11-033.36233.3623
2025-10-313.37833.3783
2025-10-303.37253.3725
2025-10-293.37873.3787
2025-10-283.32743.3274
2025-10-273.35603.3560
2025-10-243.30553.3055
2025-10-233.28893.2889
2025-10-223.26753.2675
2025-10-213.27793.2779
2025-10-203.25273.2527
2025-10-173.25993.2599