广发睿鑫混合C
(010458.jj ) 广发基金管理有限公司
基金类型混合型成立日期2021-03-18总资产规模3,427.56万 (2025-12-31) 基金净值0.8870 (2026-01-23) 基金经理李琛管理费用率1.20%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率-2.44% (8174 / 9002)
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广发睿鑫混合C(010458) - 历史基金净值数据曲线

最后更新于:2026-01-23

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广发睿鑫混合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
2026-01-230.88700.8870
2026-01-220.88670.8867
2026-01-210.89390.8939
2026-01-200.88770.8877
2026-01-190.88770.8877
2026-01-160.88060.8806
2026-01-150.88450.8845
2026-01-140.88550.8855
2026-01-130.88560.8856
2026-01-120.88920.8892
2026-01-090.88520.8852
2026-01-080.87790.8779
2026-01-070.88000.8800
2026-01-060.88440.8844
2026-01-050.87550.8755
2025-12-310.86120.8612
2025-12-300.86090.8609
2025-12-290.85680.8568
2025-12-260.86610.8661
2025-12-250.86090.8609
2025-12-240.85970.8597
2025-12-230.85940.8594
2025-12-220.85960.8596
2025-12-190.85650.8565
2025-12-180.85180.8518
2025-12-170.85760.8576
2025-12-160.84490.8449
2025-12-150.85510.8551
2025-12-120.86150.8615
2025-12-110.85380.8538
2025-12-100.85690.8569
2025-12-090.85810.8581
2025-12-080.86590.8659
2025-12-050.86690.8669
2025-12-040.86170.8617
2025-12-030.85920.8592
2025-12-020.85920.8592
2025-12-010.85920.8592
2025-11-280.85090.8509
2025-11-270.84770.8477
2025-11-260.84670.8467
2025-11-250.84360.8436
2025-11-240.83750.8375
2025-11-210.83220.8322
2025-11-200.84650.8465
2025-11-190.85170.8517
2025-11-180.84740.8474
2025-11-170.85690.8569
2025-11-140.86690.8669
2025-11-130.87750.8775