广发聚盛混合A
(002025.jj ) 广发基金管理有限公司
基金经理李晓博基金类型混合型成立日期2015-11-23总资产规模2.24亿 (2026-06-30) 基金净值1.6457 (2026-08-25) 管理费用率0.60%管托费用率0.15% (2026-06-05) 持仓换手率11.52% (2025-12-31) 成立以来分红再投入年化收益率5.71% (3982 / 9376)
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广发聚盛混合A(002025) - 历史基金净值数据曲线

最后更新于:2026-08-25

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广发聚盛混合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
2026-08-251.64571.7807
2026-08-241.64581.7808
2026-08-211.65131.7863
2026-08-201.64961.7846
2026-08-191.64321.7782
2026-08-181.66591.8009
2026-08-171.67271.8077
2026-08-141.65781.7928
2026-08-131.65281.7878
2026-08-121.65691.7919
2026-08-111.65171.7867
2026-08-101.66141.7964
2026-08-071.65571.7907
2026-08-061.64421.7792
2026-08-051.64151.7765
2026-08-041.62691.7619
2026-08-031.61861.7536
2026-07-311.62251.7575
2026-07-301.61591.7509
2026-07-291.62451.7595
2026-07-281.61931.7543
2026-07-271.63391.7689
2026-07-241.61371.7487
2026-07-231.62511.7601
2026-07-221.62531.7603
2026-07-211.63081.7658
2026-07-201.61371.7487
2026-07-171.61031.7453
2026-07-161.63421.7692
2026-07-151.65301.7880
2026-07-141.65731.7923
2026-07-131.65081.7858
2026-07-101.66861.8036
2026-07-091.67371.8087
2026-07-081.65841.7934
2026-07-071.66571.8007
2026-07-061.67691.8119
2026-07-031.68191.8169
2026-07-021.67161.8066
2026-07-011.68441.8194
2026-06-301.68131.8163
2026-06-291.66741.8024
2026-06-261.66301.7980
2026-06-251.67651.8115
2026-06-241.67051.8055
2026-06-231.66291.7979
2026-06-221.67481.8098
2026-06-181.66441.7994
2026-06-171.66381.7988
2026-06-161.65581.7908