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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(%)
2012-01-181.08842.3484-0.0318-2.8388
2012-01-171.12022.38020.03152.8934
2012-01-161.08872.3487-0.0392-3.4755
2012-01-131.12792.3879-0.0310-2.6750
2012-01-121.15892.4189-0.0116-0.9910
2012-01-111.17052.4305-0.0027-0.2301
2012-01-101.17322.43320.03783.3292
2012-01-091.13542.39540.02161.9393
2012-01-061.11382.37380.00230.2069
2012-01-051.11152.3715-0.0325-2.8409
2012-01-041.14402.4040-0.0359-3.0426
2011-12-311.17992.4399-0.0001-0.0085
2011-12-301.18002.44000.02231.9262
2011-12-291.15772.41770.00770.6696
2011-12-281.15002.4100-0.0025-0.2169
2011-12-271.15252.4125-0.0278-2.3553
2011-12-261.18032.4403-0.0147-1.2301
2011-12-231.19502.45500.00400.3359
2011-12-221.19102.45100.00100.0840
2011-12-211.19002.4500-0.0191-1.5797
2011-12-201.20912.4691-0.0067-0.5511
2011-12-191.21582.4758-0.0069-0.5643
2011-12-161.22272.48270.02752.3009
2011-12-151.19522.4552-0.0067-0.5575
2011-12-141.20192.4619-0.0143-1.1758
2011-12-131.21622.4762-0.0245-1.9747
2011-12-121.24072.5007-0.0144-1.1473
2011-12-091.25512.5151-0.0137-1.0798
2011-12-081.26882.5288-0.0028-0.2202
2011-12-071.27162.53160.00200.1575
2011-12-061.26962.5296-0.0009-0.0708
2011-12-051.27052.5305-0.0332-2.5466
2011-12-021.30372.5637-0.0166-1.2573
2011-12-011.32032.58030.01511.1569
2011-11-301.30522.5652-0.0261-1.9605
2011-11-291.33132.59130.00810.6122
2011-11-281.32322.58320.00230.1741
2011-11-251.32092.58090.00320.2428
2011-11-241.31772.5777-0.0012-0.0910
2011-11-231.31892.57890.00300.2280


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