广发汇瑞3个月定期开放债券
(003746.jj ) 广发基金管理有限公司
基金类型债券型成立日期2016-11-28总资产规模38.52亿 (2025-12-31) 基金净值1.0074 (2026-01-30) 基金经理古渥管理费用率0.30%管托费用率0.10% (2025-06-30)
备注 (0): 双击编辑备注
发表讨论

广发汇瑞3个月定期开放债券(003746) - 历史基金净值数据曲线

最后更新于:2026-01-30

数据选项
加载中......
广发汇瑞3个月定期开放债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-301.00741.3253
2026-01-231.00771.3256
2026-01-161.00661.3245
2026-01-091.00551.3234
2025-12-311.00531.3232
2025-12-261.00551.3234
2025-12-251.00531.3232
2025-12-241.00521.3231
2025-12-231.00531.3232
2025-12-221.00491.3228
2025-12-191.00501.3229
2025-12-181.00451.3224
2025-12-171.00411.3220
2025-12-161.00361.3215
2025-12-151.00361.3215
2025-12-121.00401.3219
2025-12-111.00421.3221
2025-12-101.00371.3216
2025-12-091.00341.3213
2025-12-081.00311.3210
2025-12-051.00301.3209
2025-12-041.00281.3207
2025-12-031.00351.3214
2025-12-021.00371.3216
2025-12-011.00391.3218
2025-11-281.00371.3216
2025-11-211.00451.3224
2025-11-141.00411.3220
2025-11-071.00331.3212
2025-10-311.00411.3220
2025-10-241.00091.3188
2025-10-171.00101.3189
2025-10-100.99961.3175
2025-09-300.99901.3169
2025-09-260.99811.3160
2025-09-190.99961.3175
2025-09-120.99891.3168
2025-09-111.00941.3166
2025-09-051.01151.3187
2025-08-291.01081.3180
2025-08-281.01071.3179
2025-08-271.01121.3184
2025-08-261.01111.3183
2025-08-251.01081.3180
2025-08-221.01021.3174
2025-08-211.01011.3173
2025-08-201.00991.3171
2025-08-191.01001.3172
2025-08-181.00991.3171
2025-08-151.01161.3188