广发鑫裕混合A
(002134.jj ) 广发基金管理有限公司
基金类型混合型成立日期2016-03-01总资产规模1,177.68万 (2025-12-31) 基金净值1.7641 (2026-02-04) 基金经理刘志辉姚秋管理费用率0.60%管托费用率0.15% (2025-06-30) 持仓换手率163.61% (2025-06-30) 成立以来分红再投入年化收益率8.56% (3165 / 9046)
备注 (0): 双击编辑备注
发表讨论

广发鑫裕混合A(002134) - 历史基金净值数据曲线

最后更新于:2026-02-04

数据选项
加载中......
广发鑫裕混合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
2026-02-041.76412.1140
2026-02-031.74062.0905
2026-02-021.71522.0651
2026-01-301.76962.1195
2026-01-291.80482.1547
2026-01-281.78132.1312
2026-01-271.76632.1162
2026-01-261.77252.1224
2026-01-231.75482.1047
2026-01-221.75252.1024
2026-01-211.75472.1046
2026-01-201.75892.1088
2026-01-191.75582.1057
2026-01-161.73622.0861
2026-01-151.74802.0979
2026-01-141.73852.0884
2026-01-131.74932.0992
2026-01-121.75422.1041
2026-01-091.74492.0948
2026-01-081.72802.0779
2026-01-071.73792.0878
2026-01-061.74712.0970
2026-01-051.71802.0679
2025-12-311.68232.0322
2025-12-301.67562.0255
2025-12-291.66962.0195
2025-12-261.68592.0358
2025-12-251.67442.0243
2025-12-241.66922.0191
2025-12-231.67122.0211
2025-12-221.67352.0234
2025-12-191.67312.0230
2025-12-181.65602.0059
2025-12-171.65212.0020
2025-12-161.61181.9617
2025-12-151.62631.9762
2025-12-121.61811.9680
2025-12-111.60521.9551
2025-12-101.61561.9655
2025-12-091.60661.9565
2025-12-081.62611.9760
2025-12-051.62151.9714
2025-12-041.60161.9515
2025-12-031.59481.9447
2025-12-021.59321.9431
2025-12-011.60031.9502
2025-11-281.57511.9250
2025-11-271.56761.9175
2025-11-261.57581.9257
2025-11-251.57611.9260