广发稳睿六个月持有期混合C
(012944.jj ) 广发基金管理有限公司
基金类型混合型成立日期2021-09-16总资产规模6.92亿 (2025-09-30) 基金净值1.1968 (2026-01-12) 基金经理王予柯管理费用率0.70%管托费用率0.15% (2025-06-30) 成立以来分红再投入年化收益率4.24% (5228 / 8992)
备注 (1): 双击编辑备注
发表讨论

广发稳睿六个月持有期混合C(012944) - 历史基金净值数据曲线

最后更新于:2026-01-12

数据选项
加载中......
广发稳睿六个月持有期混合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
2026-01-121.19681.1968
2026-01-091.19501.1950
2026-01-081.19431.1943
2026-01-071.19351.1935
2026-01-061.19601.1960
2026-01-051.19611.1961
2025-12-311.19471.1947
2025-12-301.19491.1949
2025-12-291.19701.1970
2025-12-261.20491.2049
2025-12-251.20591.2059
2025-12-241.20641.2064
2025-12-231.20541.2054
2025-12-221.20501.2050
2025-12-191.20651.2065
2025-12-181.20741.2074
2025-12-171.20551.2055
2025-12-161.20311.2031
2025-12-151.20571.2057
2025-12-121.20891.2089
2025-12-111.20761.2076
2025-12-101.20851.2085
2025-12-091.20871.2087
2025-12-081.20921.2092
2025-12-051.21201.2120
2025-12-041.21141.2114
2025-12-031.21301.2130
2025-12-021.21471.2147
2025-12-011.21441.2144
2025-11-281.21201.2120
2025-11-271.21211.2121
2025-11-261.21051.2105
2025-11-251.21201.2120
2025-11-241.21191.2119
2025-11-211.21101.2110
2025-11-201.21481.2148
2025-11-191.21411.2141
2025-11-181.21381.2138
2025-11-171.21541.2154
2025-11-141.21701.2170
2025-11-131.22051.2205
2025-11-121.22291.2229
2025-11-111.22151.2215
2025-11-101.22091.2209
2025-11-071.21851.2185
2025-11-061.22051.2205
2025-11-051.21811.2181
2025-11-041.21781.2178
2025-11-031.21761.2176
2025-10-311.21441.2144