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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(%)
2010-07-281.48882.48880.02301.5691
2010-07-271.46582.46580.00370.2531
2010-07-261.46212.46210.01671.1554
2010-07-231.44542.44540.00680.4727
2010-07-221.43862.43860.01350.9473
2010-07-211.42512.42510.00440.3097
2010-07-201.42072.42070.02872.0618
2010-07-191.39202.39200.01911.3912
2010-07-161.37292.37290.00120.0875
2010-07-151.37172.3717-0.0109-0.7884
2010-07-141.38262.38260.00460.3338
2010-07-131.37802.3780-0.0173-1.2399
2010-07-121.39532.39530.00060.0430
2010-07-091.39472.39470.02651.9369
2010-07-081.36822.36820.00250.1831
2010-07-071.36572.36570.01401.0357
2010-07-061.35172.35170.02341.7617
2010-07-051.32832.32830.00440.3324
2010-07-021.32392.3239-0.0146-1.0908
2010-07-011.33852.3385-0.0234-1.7182
2010-06-301.36192.36190.00610.4499
2010-06-291.35582.3558-0.0460-3.2815
2010-06-281.40182.4018-0.0079-0.5604
2010-06-251.40972.4097-0.0164-1.1500
2010-06-241.42612.42610.00200.1404
2010-06-231.42412.4241-0.0031-0.2172
2010-06-221.42722.42720.00470.3304
2010-06-211.42252.42250.02341.6725
2010-06-181.39912.3991-0.0401-2.7863
2010-06-171.43922.4392-0.0287-1.9552
2010-06-111.46792.4679-0.0079-0.5353
2010-06-101.47582.47580.00610.4151
2010-06-091.46972.46970.02051.4146
2010-06-081.44922.44920.01020.7088
2010-06-071.43902.43900.00570.3977
2010-06-041.43332.43330.01160.8159
2010-06-031.42172.42170.00110.0774
2010-06-021.42062.42060.00750.5307
2010-06-011.41312.4131-0.0188-1.3129
2010-05-311.43192.4319-0.0183-1.2619


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