广发鑫裕混合C
(009955.jj )
基金经理刘志辉姚秋基金类型混合型成立日期2020-09-25总资产规模56.25万 (2026-06-30) 基金净值1.7104 (2026-08-26) 管理费用率0.60%管托费用率0.15% (2026-07-27) 成立以来分红再投入年化收益率6.79% (3503 / 9376)
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广发鑫裕混合C(009955) - 历史基金净值数据曲线

最后更新于:2026-08-26

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广发鑫裕混合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
2026-08-261.71042.0592
2026-08-251.70072.0495
2026-08-241.69422.0430
2026-08-211.69382.0426
2026-08-201.70362.0524
2026-08-191.69562.0444
2026-08-181.70842.0572
2026-08-171.70532.0541
2026-08-141.69772.0465
2026-08-131.70022.0490
2026-08-121.71162.0604
2026-08-111.71502.0638
2026-08-101.73422.0830
2026-08-071.71132.0601
2026-08-061.70812.0569
2026-08-051.72542.0742
2026-08-041.71482.0636
2026-08-031.72872.0775
2026-07-311.72662.0754
2026-07-301.71782.0666
2026-07-291.70112.0499
2026-07-281.66602.0148
2026-07-271.65462.0034
2026-07-241.61651.9653
2026-07-231.64521.9940
2026-07-221.63151.9803
2026-07-211.63351.9823
2026-07-201.62001.9688
2026-07-171.57571.9245
2026-07-161.61331.9621
2026-07-151.60871.9575
2026-07-141.57211.9209
2026-07-131.55161.9004
2026-07-101.57081.9196
2026-07-091.56481.9136
2026-07-081.57031.9191
2026-07-071.59141.9402
2026-07-061.61021.9590
2026-07-031.60381.9526
2026-07-021.58601.9348
2026-07-011.58491.9337
2026-06-301.57041.9192
2026-06-291.57921.9280
2026-06-261.55441.9032
2026-06-251.58591.9347
2026-06-241.57101.9198
2026-06-231.57351.9223
2026-06-221.60021.9490
2026-06-181.56811.9169
2026-06-171.58491.9337