广发汇安18个月定期债券C
(004387.jj ) 广发基金管理有限公司
基金经理郎振东基金类型债券型成立日期2017-03-31总资产规模20.97万 (2026-03-31) 基金净值1.2723 (2026-04-24) 管理费用率0.30%管托费用率0.10% (2025-05-26)
备注 (0): 双击编辑备注
发表讨论

广发汇安18个月定期债券C(004387) - 历史基金净值数据曲线

最后更新于:2026-04-24

数据选项
加载中......
广发汇安18个月定期债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-04-241.27231.3866
2026-04-171.27111.3854
2026-04-101.26951.3838
2026-04-031.26791.3822
2026-03-271.26591.3802
2026-03-201.26491.3792
2026-03-131.26411.3784
2026-03-061.26541.3797
2026-02-271.26321.3775
2026-02-131.26331.3776
2026-02-061.26131.3756
2026-01-301.26031.3746
2026-01-231.25971.3740
2026-01-161.25781.3721
2026-01-091.25601.3703
2025-12-311.25601.3703
2025-12-261.25701.3713
2025-12-191.25581.3701
2025-12-121.25511.3694
2025-12-051.25401.3683
2025-11-281.25691.3712
2025-11-211.25941.3737
2025-11-141.25931.3736
2025-11-071.25851.3728
2025-10-311.25851.3728
2025-10-241.25381.3681
2025-10-171.25301.3673
2025-10-101.24911.3634
2025-09-301.24811.3624
2025-09-261.24771.3620
2025-09-191.25291.3672
2025-09-121.25331.3676
2025-09-051.25851.3728
2025-08-291.25711.3714
2025-08-221.25581.3701
2025-08-151.26021.3745
2025-08-081.26531.3796
2025-08-011.26381.3781
2025-07-251.26111.3754
2025-07-181.26781.3821
2025-07-111.26701.3813
2025-07-041.26841.3827
2025-06-301.26551.3798
2025-06-271.26581.3801
2025-06-201.26681.3811
2025-06-131.26381.3781
2025-06-061.26181.3761
2025-05-301.26061.3749
2025-05-231.26141.3757
2025-05-161.25961.3739