广发沪港深精选混合C
(012183.jj )
基金经理观富钦基金类型混合型成立日期2021-11-18总资产规模8,683.85万 (2026-06-30) 基金净值0.9004 (2026-08-28) 管理费用率1.20%管托费用率0.20% (2026-06-05) 成立以来分红再投入年化收益率-2.17% (7952 / 9409)
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广发沪港深精选混合C(012183) - 历史基金净值数据曲线

最后更新于:2026-08-28

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广发沪港深精选混合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
2026-08-280.90040.9004
2026-08-270.88140.8814
2026-08-260.85410.8541
2026-08-250.86780.8678
2026-08-240.85860.8586
2026-08-210.88860.8886
2026-08-200.88840.8884
2026-08-190.87080.8708
2026-08-180.91640.9164
2026-08-170.94940.9494
2026-08-140.93940.9394
2026-08-130.91460.9146
2026-08-120.92730.9273
2026-08-110.94180.9418
2026-08-100.94400.9440
2026-08-070.94760.9476
2026-08-060.94660.9466
2026-08-050.95460.9546
2026-08-040.92650.9265
2026-08-030.89340.8934
2026-07-310.89600.8960
2026-07-300.80270.8027
2026-07-290.81670.8167
2026-07-280.80010.8001
2026-07-270.81230.8123
2026-07-240.78480.7848
2026-07-230.81450.8145
2026-07-220.83850.8385
2026-07-210.85440.8544
2026-07-200.82630.8263
2026-07-170.82340.8234
2026-07-160.88640.8864
2026-07-150.87190.8719
2026-07-140.85850.8585
2026-07-130.86920.8692
2026-07-100.90040.9004
2026-07-090.91210.9121
2026-07-080.89040.8904
2026-07-070.83120.8312
2026-07-060.83180.8318
2026-07-030.85530.8553
2026-07-020.87110.8711
2026-07-010.88020.8802
2026-06-300.87570.8757
2026-06-290.86090.8609
2026-06-260.85120.8512
2026-06-250.89830.8983
2026-06-240.90760.9076
2026-06-230.90780.9078
2026-06-220.95270.9527