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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(%)
2011-03-291.44372.7037-0.0219-1.4943
2011-03-281.46562.7256-0.0247-1.6574
2011-03-251.49032.75030.00600.4042
2011-03-241.48432.74430.00090.0607
2011-03-231.48342.74340.01591.0835
2011-03-221.46752.7275-0.0006-0.0409
2011-03-211.46812.7281-0.0133-0.8978
2011-03-181.48142.7414-0.0026-0.1752
2011-03-171.48402.7440-0.0185-1.2313
2011-03-161.50252.76250.01250.8389
2011-03-151.49002.7500-0.0229-1.5136
2011-03-141.51292.77290.01280.8533
2011-03-111.50012.7601-0.0030-0.1996
2011-03-101.50312.76310.00340.2267
2011-03-091.49972.75970.01000.6713
2011-03-081.48972.7497-0.0006-0.0403
2011-03-071.49032.75030.00400.2691
2011-03-041.48632.74630.00410.2766
2011-03-031.48222.7422-0.0243-1.6130
2011-03-021.50652.7665-0.0029-0.1921
2011-03-011.50942.76940.00710.4726
2011-02-281.50232.76230.01100.7376
2011-02-251.49132.75130.00100.0671
2011-02-241.49032.75030.01110.7504
2011-02-231.47922.73920.01040.7081
2011-02-221.46882.7288-0.0306-2.0408
2011-02-211.49942.75940.01010.6782
2011-02-181.48932.7493-0.0092-0.6139
2011-02-171.49852.75850.00140.0935
2011-02-161.49712.75710.00770.5170
2011-02-151.48942.7494-0.0074-0.4944
2011-02-141.49682.75680.01641.1078
2011-02-111.48042.74040.01721.1755
2011-02-101.46322.72320.04072.8612
2011-02-091.42252.6825-0.0112-0.7812
2011-02-011.43372.69370.00250.1747
2011-01-311.43122.69120.01310.9238
2011-01-281.41812.67810.01390.9899
2011-01-271.40422.66420.01971.4229
2011-01-261.38452.64450.02081.5253


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