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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(%)
2010-11-291.92472.92470.01050.5485
2010-11-261.91422.9142-0.0042-0.2189
2010-11-251.91842.91840.00000.0000
2010-11-241.91842.91840.04242.2601
2010-11-231.87602.8760-0.0054-0.2870
2010-11-221.88142.88140.03211.7358
2010-11-191.84932.84930.06343.5500
2010-11-181.78592.78590.02051.1612
2010-11-171.76542.7654-0.0763-4.1429
2010-11-161.84172.8417-0.0373-1.9851
2010-11-151.87902.87900.06863.7892
2010-11-121.81042.8104-0.0731-3.8811
2010-11-111.88352.8835-0.0078-0.4124
2010-11-101.89132.89130.02831.5191
2010-11-091.86302.86300.01750.9483
2010-11-081.84552.84550.03161.7421
2010-11-051.81392.81390.02351.3126
2010-11-041.79042.79040.03241.8430
2010-11-031.75802.7580-0.0112-0.6331
2010-11-021.76922.7692-0.0144-0.8074
2010-11-011.78362.78360.03822.1886
2010-10-291.74542.74540.01420.8202
2010-10-281.73122.7312-0.0062-0.3569
2010-10-271.73742.7374-0.0039-0.2240
2010-10-261.74132.7413-0.0103-0.5880
2010-10-251.75162.75160.04192.4507
2010-10-221.70972.70970.01891.1178
2010-10-211.69082.6908-0.0010-0.0591
2010-10-201.69182.69180.02021.2084
2010-10-191.67162.67160.04482.7539
2010-10-181.62682.6268-0.0064-0.3919
2010-10-151.63322.6332-0.0012-0.0734
2010-10-141.63442.6344-0.0415-2.4763
2010-10-131.67592.67590.00200.1195
2010-10-121.67392.6739-0.0157-0.9292
2010-10-111.68962.6896-0.0448-2.5830
2010-10-081.73442.73440.02801.6409
2010-09-301.70642.70640.02831.6864
2010-09-291.67812.6781-0.0244-1.4332
2010-09-281.70252.70250.00440.2591


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