广发品质回报混合C基金净值查询(009120)
今天最新净值
0.7181
0.0013 0.1800%
2025-02-14
盘中实时估值(仅供参考)
0.7125
0.0013 0.1776%
- 累计净值:0.7181
- 成立日期:2020-06-09
- 基金类型:混合型-偏股
- 成立份额:
- 最近份额:7.1654亿
- 最近资产:0.37亿元
- 基金公司:广发基金
- 基金经理:张东一
今年以来,广发品质回报混合C(009120)基金累计收益率4.13%
净值日期 |
基金代码 |
基金名称 |
最新单位净值 |
最新累计净值 |
上期单位净值 |
上期累计净值 |
当日增长值 |
当日增长率 |
2025-02-14 |
009120 |
广发品质回报混合C |
0.7369 |
0.7369 |
0.7181 |
0.7181 |
0.0188 |
2.62% |
2025-02-13 |
009120 |
广发品质回报混合C |
0.7181 |
0.7181 |
0.7168 |
0.7168 |
0.0013 |
0.18% |
2025-02-12 |
009120 |
广发品质回报混合C |
0.7168 |
0.7168 |
0.7077 |
0.7077 |
0.0091 |
1.29% |
2025-02-11 |
009120 |
广发品质回报混合C |
0.7077 |
0.7077 |
0.7133 |
0.7133 |
-0.0056 |
-0.79% |
2025-02-10 |
009120 |
广发品质回报混合C |
0.7133 |
0.7133 |
0.7090 |
0.7090 |
0.0043 |
0.61% |
2025-02-07 |
009120 |
广发品质回报混合C |
0.7090 |
0.7090 |
0.6959 |
0.6959 |
0.0131 |
1.88% |
2025-02-06 |
009120 |
广发品质回报混合C |
0.6959 |
0.6959 |
0.6922 |
0.6922 |
0.0037 |
0.53% |
2025-02-05 |
009120 |
广发品质回报混合C |
0.6922 |
0.6922 |
0.6909 |
0.6909 |
0.0013 |
0.19% |
2025-01-27 |
009120 |
广发品质回报混合C |
0.6909 |
0.6909 |
0.6905 |
0.6905 |
0.0004 |
0.06% |
2025-01-22 |
009120 |
广发品质回报混合C |
0.6800 |
0.6800 |
0.6924 |
0.6924 |
-0.0124 |
-1.79% |
|
2025-01-14 |
009120 |
广发品质回报混合C |
0.6771 |
0.6771 |
0.6612 |
0.6612 |
0.0159 |
2.40% |
2025-01-13 |
009120 |
广发品质回报混合C |
0.6612 |
0.6612 |
0.6662 |
0.6662 |
-0.0050 |
-0.75% |
2025-01-10 |
009120 |
广发品质回报混合C |
0.6662 |
0.6662 |
0.6782 |
0.6782 |
-0.0120 |
-1.77% |
2025-01-09 |
009120 |
广发品质回报混合C |
0.6782 |
0.6782 |
0.6819 |
0.6819 |
-0.0037 |
-0.54% |
2025-01-08 |
009120 |
广发品质回报混合C |
0.6819 |
0.6819 |
0.6855 |
0.6855 |
-0.0036 |
-0.53% |
2025-01-07 |
009120 |
广发品质回报混合C |
0.6855 |
0.6855 |
0.6883 |
0.6883 |
-0.0028 |
-0.41% |
2025-01-06 |
009120 |
广发品质回报混合C |
0.6883 |
0.6883 |
0.6919 |
0.6919 |
-0.0036 |
-0.52% |
2025-01-03 |
009120 |
广发品质回报混合C |
0.6919 |
0.6919 |
0.6933 |
0.6933 |
-0.0014 |
-0.20% |
2025-01-02 |
009120 |
广发品质回报混合C |
0.6933 |
0.6933 |
0.7077 |
0.7077 |
-0.0144 |
-2.03% |