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【广发优选 270006】焦点指标(2013-08-13)

单位净值: 1.3240 累计净值: 2.5840 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 270006 行情代码:
投资类型: 混合型 申购费率上限: 1.8% 赎回费率上限: 0.5%
基金经理: 基金管理人: 广发基金管理有限公司 基金托管人: 中国工商银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

广发优选 [270006] 历史净值

截止日期单位净值(元)累计净值(元)增长值(元)增长率(%)
2011-09-201.36632.6263-0.0042-0.3065
2011-09-191.37052.6305-0.0178-1.2821
2011-09-161.38832.64830.00610.4413
2011-09-151.38222.64220.00820.5968
2011-09-141.37402.63400.00180.1312
2011-09-131.37222.6322-0.0207-1.4861
2011-09-091.39292.6529-0.0176-1.2478
2011-09-081.41052.6705-0.0085-0.5990
2011-09-071.41902.67900.01841.3137
2011-09-061.40062.6606-0.0211-1.4841
2011-09-051.42172.6817-0.0201-1.3941
2011-09-021.44182.7018-0.0133-0.9140
2011-09-011.45512.7151-0.0124-0.8450
2011-08-311.46752.7275-0.0081-0.5489
2011-08-301.47562.7356-0.0110-0.7399
2011-08-291.48662.7466-0.0029-0.1947
2011-08-261.48952.74950.00090.0605
2011-08-251.48862.74860.01350.9152
2011-08-241.47512.73510.00570.3879
2011-08-231.46942.72940.00780.5337
2011-08-221.46162.7216-0.0319-2.1359
2011-08-191.49352.75350.00390.2618
2011-08-181.48962.7496-0.0246-1.6246
2011-08-171.51422.7742-0.0086-0.5647
2011-08-161.52282.7828-0.0098-0.6394
2011-08-151.53262.79260.00100.0653
2011-08-121.53162.79160.00500.3275
2011-08-111.52662.78660.03122.0864
2011-08-101.49542.75540.02901.9776
2011-08-091.46642.72640.00940.6452
2011-08-081.45702.7170-0.0252-1.7002
2011-08-051.48222.7422-0.0062-0.4166
2011-08-041.48842.74840.01140.7718
2011-08-031.47702.73700.00690.4694
2011-08-021.47012.7301-0.0040-0.2714
2011-08-011.47412.7341-0.0048-0.3246
2011-07-291.47892.7389-0.0153-1.0240
2011-07-281.49422.75420.00370.2482
2011-07-271.49052.75050.02241.5258
2011-07-261.46812.7281-0.0007-0.0477


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