广发龙头优选混合A
(005910.jj ) 广发基金管理有限公司
基金类型混合型成立日期2018-08-08总资产规模5,017.62万 (2025-12-31) 基金净值2.6072 (2026-03-13) 基金经理田文舟管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率203.55% (2025-06-30) 成立以来分红再投入年化收益率13.44% (1557 / 9047)
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广发龙头优选混合A(005910) - 历史基金净值数据曲线

最后更新于:2026-03-13

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广发龙头优选混合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
2026-03-132.60722.6072
2026-03-122.64222.6422
2026-03-112.63872.6387
2026-03-102.60662.6066
2026-03-092.57532.5753
2026-03-062.61722.6172
2026-03-052.62942.6294
2026-03-042.58272.5827
2026-03-032.60642.6064
2026-03-022.66152.6615
2026-02-272.59922.5992
2026-02-262.57572.5757
2026-02-252.60712.6071
2026-02-242.59372.5937
2026-02-132.53852.5385
2026-02-122.61642.6164
2026-02-112.59812.5981
2026-02-102.57742.5774
2026-02-092.56942.5694
2026-02-062.53902.5390
2026-02-052.55282.5528
2026-02-042.60462.6046
2026-02-032.58042.5804
2026-02-022.53072.5307
2026-01-302.64312.6431
2026-01-292.75352.7535
2026-01-282.74262.7426
2026-01-272.64012.6401
2026-01-262.63372.6337
2026-01-232.58032.5803
2026-01-222.55782.5578
2026-01-212.58852.5885
2026-01-202.56092.5609
2026-01-192.56402.5640
2026-01-162.52502.5250
2026-01-152.52162.5216
2026-01-142.50152.5015
2026-01-132.47422.4742
2026-01-122.46392.4639
2026-01-092.47712.4771
2026-01-082.43242.4324
2026-01-072.46312.4631
2026-01-062.47392.4739
2026-01-052.42832.4283
2025-12-312.37752.3775
2025-12-302.37142.3714
2025-12-292.34032.3403
2025-12-262.37382.3738
2025-12-252.33112.3311
2025-12-242.33892.3389