广发估值优势混合A
(006136.jj ) 广发基金管理有限公司
基金类型混合型成立日期2018-09-21总资产规模1.01亿 (2025-12-31) 基金净值2.4941 (2026-01-22) 基金经理叶帅曾质彬管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率377.71% (2025-06-30) 成立以来分红再投入年化收益率13.27% (1807 / 8995)
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广发估值优势混合A(006136) - 历史基金净值数据曲线

最后更新于:2026-01-22

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广发估值优势混合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
2026-01-222.49412.4941
2026-01-212.48402.4840
2026-01-202.48342.4834
2026-01-192.46472.4647
2026-01-162.44012.4401
2026-01-152.45542.4554
2026-01-142.44392.4439
2026-01-132.45732.4573
2026-01-122.45642.4564
2026-01-092.46142.4614
2026-01-082.45922.4592
2026-01-072.46842.4684
2026-01-062.48322.4832
2026-01-052.44972.4497
2025-12-312.43962.4396
2025-12-302.43892.4389
2025-12-292.43922.4392
2025-12-262.43942.4394
2025-12-252.44082.4408
2025-12-242.43272.4327
2025-12-232.43832.4383
2025-12-222.43522.4352
2025-12-192.42982.4298
2025-12-182.41722.4172
2025-12-172.40882.4088
2025-12-162.37692.3769
2025-12-152.39742.3974
2025-12-122.39172.3917
2025-12-112.38142.3814
2025-12-102.39462.3946
2025-12-092.39492.3949
2025-12-082.40942.4094
2025-12-052.40352.4035
2025-12-042.38162.3816
2025-12-032.37972.3797
2025-12-022.38082.3808
2025-12-012.38562.3856
2025-11-282.35592.3559
2025-11-272.34462.3446
2025-11-262.34132.3413
2025-11-252.33402.3340
2025-11-242.31542.3154
2025-11-212.31292.3129
2025-11-202.37572.3757
2025-11-192.38262.3826
2025-11-182.37912.3791
2025-11-172.40222.4022
2025-11-142.42192.4219
2025-11-132.44522.4452
2025-11-122.42072.4207