广发多策略混合
(001763.jj ) 广发基金管理有限公司
基金类型混合型成立日期2015-12-09总资产规模6.97亿 (2025-12-31) 基金净值1.8830 (2026-02-04) 基金经理林英睿丁一凡管理费用率1.20%管托费用率0.20% (2025-10-21) 持仓换手率212.67% (2025-06-30) 成立以来分红再投入年化收益率6.43% (4021 / 9049)
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广发多策略混合(001763) - 历史基金净值数据曲线

最后更新于:2026-02-04

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广发多策略混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-041.88301.8830
2026-02-031.84001.8400
2026-02-021.80701.8070
2026-01-301.84201.8420
2026-01-291.85201.8520
2026-01-281.84501.8450
2026-01-271.86201.8620
2026-01-261.85701.8570
2026-01-231.87601.8760
2026-01-221.87101.8710
2026-01-211.84601.8460
2026-01-201.84001.8400
2026-01-191.83401.8340
2026-01-161.81001.8100
2026-01-151.80901.8090
2026-01-141.80701.8070
2026-01-131.81101.8110
2026-01-121.83701.8370
2026-01-091.82101.8210
2026-01-081.81201.8120
2026-01-071.82101.8210
2026-01-061.82101.8210
2026-01-051.80301.8030
2025-12-311.78601.7860
2025-12-301.77401.7740
2025-12-291.78301.7830
2025-12-261.78001.7800
2025-12-251.77801.7780
2025-12-241.77301.7730
2025-12-231.76701.7670
2025-12-221.77701.7770
2025-12-191.78701.7870
2025-12-181.77901.7790
2025-12-171.76901.7690
2025-12-161.72501.7250
2025-12-151.71401.7140
2025-12-121.70001.7000
2025-12-111.68501.6850
2025-12-101.70501.7050
2025-12-091.69801.6980
2025-12-081.72901.7290
2025-12-051.71301.7130
2025-12-041.71201.7120
2025-12-031.71601.7160
2025-12-021.70201.7020
2025-12-011.71601.7160
2025-11-281.68801.6880
2025-11-271.68001.6800
2025-11-261.68601.6860
2025-11-251.68401.6840