行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

广发安润一年持有期混合A(017011)

2025-06-27     1.08640.0000%
 查询其他基金该项数据
报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2025-03-31近三个月2.3200-0.34002.66000.21000.12000.0900
2025-03-31近六个月2.95002.01000.94000.33000.15000.1800
2025-03-31近一年8.75006.12002.63000.34000.13000.2100
2025-03-31成立至今7.58009.6800-2.10000.30000.11000.1900
2024-12-31近三个月0.61002.3600-1.75000.41000.17000.2400
2024-12-31近三个月0.61002.3600-1.75000.41000.17000.2400
2024-12-31近六个月4.89004.84000.05000.42000.15000.2700
2024-12-31近六个月4.89004.84000.05000.42000.15000.2700
2024-12-31近一年6.58008.6200-2.04000.36000.12000.2400
2024-12-31近一年6.58008.6200-2.04000.36000.12000.2400
2024-12-31成立至今5.140010.0600-4.92000.31000.11000.2000
2024-12-31成立至今5.140010.0600-4.92000.31000.11000.2000
2024-09-30近三个月4.25002.43001.82000.42000.12000.3000
2024-09-30近六个月5.64004.03001.61000.35000.10000.2500
2024-09-30近一年4.28006.7400-2.46000.32000.10000.2200
2024-09-30成立至今4.50007.5200-3.02000.29000.10000.1900
2024-06-30近一个月-0.90000.4800-1.38000.19000.05000.1400
2024-06-30近三个月1.33001.5700-0.24000.25000.08000.1700
2024-06-30近三个月1.33001.5700-0.24000.25000.08000.1700
2024-06-30近六个月1.61003.6100-2.00000.29000.09000.2000
2024-06-30近六个月1.61003.6100-2.00000.29000.09000.2000
2024-06-30近一年0.46004.4000-3.94000.25000.09000.1600
2024-06-30近一年0.46004.4000-3.94000.25000.09000.1600
2024-06-30成立至今0.24004.9700-4.73000.25000.09000.1600
2024-06-30成立至今0.24004.9700-4.73000.25000.09000.1600
2024-03-31近三个月0.27002.0100-1.74000.33000.11000.2200
2024-03-31近六个月-1.29002.6000-3.89000.28000.10000.1800
2024-03-31成立至今-1.08003.3500-4.43000.25000.09000.1600
2023-12-31近三个月-1.56000.5800-2.14000.22000.09000.1300
2023-12-31近三个月-1.56000.5800-2.14000.22000.09000.1300
2023-12-31近六个月-1.13000.7700-1.90000.22000.09000.1300
2023-12-31近六个月-1.13000.7700-1.90000.22000.09000.1300
2023-12-31成立至今-1.35001.3200-2.67000.21000.09000.1200
2023-12-31成立至今-1.35001.3200-2.67000.21000.09000.1200
2023-09-30近三个月0.43000.18000.25000.21000.09000.1200
2023-09-30成立至今0.21000.7300-0.52000.19000.09000.1000