广发养老目标日期2050五年持有期混合发起式(FOF)Y
(017403.jj )
基金类型FOF(养老目标基金)成立日期2022-11-25总资产规模2.44亿 (2025-09-30) 基金净值1.4333 (2026-01-09) 基金经理倪鑫晨朱坤管理费用率0.45%管托费用率0.08% (2025-06-30) 成立以来分红再投入年化收益率8.25% (381 / 1331)
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广发养老目标日期2050五年持有期混合发起式(FOF)Y(017403) - 历史基金净值数据曲线

最后更新于:2026-01-09

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广发养老目标日期2050五年持有期混合发起式(FOF)Y历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-091.43331.4956
2026-01-081.42591.4882
2026-01-071.43651.4988
2026-01-061.42331.4856
2026-01-051.40651.4688
2025-12-291.38091.4432
2025-12-261.38431.4466
2025-12-251.38421.4465
2025-12-241.38361.4459
2025-12-231.37531.4376
2025-12-221.36861.4309
2025-12-191.33831.4006
2025-12-181.33411.3964
2025-12-171.34541.4077
2025-12-161.31851.3808
2025-12-151.34121.4035
2025-12-121.35161.4139
2025-12-111.40121.4012
2025-12-101.41811.4181
2025-12-091.41361.4136
2025-12-081.41721.4172
2025-12-051.39721.3972
2025-12-041.38691.3869
2025-12-031.38031.3803
2025-12-021.38511.3851
2025-12-011.39411.3941
2025-11-281.38281.3828
2025-11-271.37351.3735
2025-11-261.37351.3735
2025-11-251.35451.3545
2025-11-241.33631.3363
2025-11-211.33341.3334
2025-11-201.37761.3776
2025-11-191.37991.3799
2025-11-181.37511.3751
2025-11-171.39261.3926
2025-11-141.39871.3987
2025-11-131.42931.4293
2025-11-121.41431.4143
2025-11-111.41121.4112
2025-11-101.41931.4193
2025-11-071.41111.4111
2025-11-061.41401.4140
2025-11-051.38831.3883
2025-11-041.38891.3889
2025-11-031.41181.4118
2025-10-311.40481.4048
2025-10-301.41931.4193
2025-10-291.43751.4375
2025-10-281.41861.4186