广发消费品精选混合C
(010022.jj )
基金经理陈宇庭曾质彬基金类型混合型成立日期2020-09-24总资产规模1,829.00万 (2026-06-30) 基金净值2.6990 (2026-08-31) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率-7.69% (8822 / 9406)
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广发消费品精选混合C(010022) - 历史基金净值数据曲线

最后更新于:2026-08-31

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广发消费品精选混合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
2026-08-312.69902.6990
2026-08-282.70602.7060
2026-08-272.68302.6830
2026-08-262.69202.6920
2026-08-252.68902.6890
2026-08-242.64902.6490
2026-08-212.65802.6580
2026-08-202.67802.6780
2026-08-192.65402.6540
2026-08-182.71302.7130
2026-08-172.71102.7110
2026-08-142.69702.6970
2026-08-132.71502.7150
2026-08-122.73902.7390
2026-08-112.72602.7260
2026-08-102.74202.7420
2026-08-072.68102.6810
2026-08-062.68102.6810
2026-08-052.68702.6870
2026-08-042.69202.6920
2026-08-032.71602.7160
2026-07-312.69602.6960
2026-07-302.68102.6810
2026-07-292.66302.6630
2026-07-282.60802.6080
2026-07-272.57302.5730
2026-07-242.52502.5250
2026-07-232.57902.5790
2026-07-222.56202.5620
2026-07-212.56802.5680
2026-07-202.57502.5750
2026-07-172.57102.5710
2026-07-162.63402.6340
2026-07-152.61602.6160
2026-07-142.55102.5510
2026-07-132.52802.5280
2026-07-102.56202.5620
2026-07-092.52802.5280
2026-07-082.56302.5630
2026-07-072.56302.5630
2026-07-062.61702.6170
2026-07-032.60502.6050
2026-07-022.58302.5830
2026-07-012.58102.5810
2026-06-302.51602.5160
2026-06-292.54902.5490
2026-06-262.51702.5170
2026-06-252.56102.5610
2026-06-242.56502.5650
2026-06-232.60502.6050