广发积极养老目标五年持有期混合发起式(FOF)Y
(019746.jj )
基金类型FOF(养老目标基金)成立日期2023-10-16总资产规模1,981.46万 (2025-12-31) 基金净值1.2638 (2026-01-21) 基金经理曹建文管理费用率0.40%管托费用率0.08% (2025-06-30) 成立以来分红再投入年化收益率15.03% (237 / 1354)
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广发积极养老目标五年持有期混合发起式(FOF)Y(019746) - 历史基金净值数据曲线

最后更新于:2026-01-21

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广发积极养老目标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
2026-01-211.26381.2638
2026-01-201.25511.2551
2026-01-191.26171.2617
2026-01-161.25491.2549
2026-01-151.25721.2572
2026-01-141.25851.2585
2026-01-131.25171.2517
2026-01-121.26541.2654
2026-01-091.24231.2423
2026-01-081.22981.2298
2026-01-071.22681.2268
2026-01-061.22591.2259
2026-01-051.20611.2061
2025-12-291.18351.1835
2025-12-261.18741.1874
2025-12-251.18391.1839
2025-12-241.17801.1780
2025-12-231.17151.1715
2025-12-221.17101.1710
2025-12-191.15941.1594
2025-12-181.15211.1521
2025-12-171.15561.1556
2025-12-161.14161.1416
2025-12-151.15651.1565
2025-12-121.16041.1604
2025-12-111.14851.1485
2025-12-101.15551.1555
2025-12-091.15291.1529
2025-12-081.16161.1616
2025-12-051.15571.1557
2025-12-041.14321.1432
2025-12-031.13941.1394
2025-12-021.14641.1464
2025-12-011.15261.1526
2025-11-281.14501.1450
2025-11-271.13891.1389
2025-11-261.14061.1406
2025-11-251.13891.1389
2025-11-241.13091.1309
2025-11-211.12071.1207
2025-11-201.14571.1457
2025-11-191.15231.1523
2025-11-181.15041.1504
2025-11-171.16121.1612
2025-11-141.16741.1674
2025-11-131.18361.1836
2025-11-121.17241.1724
2025-11-111.17281.1728
2025-11-101.17881.1788
2025-11-071.16991.1699