广发稳健策略混合A
(006780.jj ) 广发基金管理有限公司
基金类型混合型成立日期2019-03-07总资产规模13.74亿 (2025-12-31) 基金净值1.7705 (2026-03-02) 基金经理杨冬管理费用率1.20%管托费用率0.20% (2025-08-14) 持仓换手率336.31% (2025-06-30) 成立以来分红再投入年化收益率8.52% (3287 / 9025)
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广发稳健策略混合A(006780) - 历史基金净值数据曲线

最后更新于:2026-03-02

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广发稳健策略混合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
2026-03-021.77051.7705
2026-02-271.77661.7766
2026-02-261.77021.7702
2026-02-251.78561.7856
2026-02-241.77211.7721
2026-02-131.75901.7590
2026-02-121.78821.7882
2026-02-111.79651.7965
2026-02-101.79381.7938
2026-02-091.79091.7909
2026-02-061.77221.7722
2026-02-051.78551.7855
2026-02-041.79521.7952
2026-02-031.77021.7702
2026-02-021.74341.7434
2026-01-301.79171.7917
2026-01-291.82321.8232
2026-01-281.79161.7916
2026-01-271.78151.7815
2026-01-261.78371.7837
2026-01-231.78561.7856
2026-01-221.78321.7832
2026-01-211.78561.7856
2026-01-201.78641.7864
2026-01-191.77761.7776
2026-01-161.76361.7636
2026-01-151.77311.7731
2026-01-141.77991.7799
2026-01-131.78091.7809
2026-01-121.78371.7837
2026-01-091.77981.7798
2026-01-081.76881.7688
2026-01-071.78421.7842
2026-01-061.78951.7895
2026-01-051.75591.7559
2025-12-311.72551.7255
2025-12-301.72271.7227
2025-12-291.73301.7330
2025-12-261.72471.7247
2025-12-251.72551.7255
2025-12-241.71781.7178
2025-12-231.71641.7164
2025-12-221.71651.7165
2025-12-191.71401.7140
2025-12-181.70051.7005
2025-12-171.69321.6932
2025-12-161.67931.6793
2025-12-151.70051.7005
2025-12-121.68681.6868
2025-12-111.67301.6730