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

广发聚安混合C(001116)

2025-04-10     1.36500.0000%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-04-101.36501.6150
2025-04-091.36501.6150
2025-04-081.36401.6140
2025-04-071.36401.6140
2025-04-031.36301.6130
2025-04-021.35801.6080
2025-04-011.35601.6060
2025-03-311.35501.6050
2025-03-281.35701.6070
2025-03-271.35701.6070
2025-03-261.35701.6070
2025-03-251.35501.6050
2025-03-241.35501.6050
2025-03-211.35401.6040
2025-03-201.35501.6050
2025-03-191.35301.6030
2025-03-181.35201.6020
2025-03-171.35101.6010
2025-03-141.35601.6060
2025-03-131.35301.6030
2025-03-121.35301.6030
2025-03-111.35201.6020
2025-03-101.35601.6060
2025-03-071.35701.6070
2025-03-061.36201.6120
2025-03-051.36101.6110
2025-03-041.36001.6100
2025-03-031.36001.6100
2025-02-281.35901.6090
2025-02-271.36101.6110
2025-02-261.36201.6120
2025-02-251.36101.6110
2025-02-241.36301.6130
2025-02-211.36601.6160
2025-02-201.36601.6160
2025-02-191.36801.6180
2025-02-181.36701.6170
2025-02-171.37001.6200
2025-02-141.37201.6220
2025-02-131.37301.6230
2025-02-121.37401.6240
2025-02-111.37301.6230
2025-02-101.37301.6230
2025-02-071.37301.6230
2025-02-061.37201.6220
2025-02-051.36901.6190
2025-01-271.36801.6180
2025-01-241.36601.6160
2025-01-231.36601.6160
2025-01-221.36701.6170
2025-01-211.36701.6170
2025-01-201.36601.6160
2025-01-171.36601.6160
2025-01-161.36701.6170
2025-01-151.36801.6180
2025-01-141.36801.6180
2025-01-131.36501.6150
2025-01-101.36601.6160
2025-01-091.36601.6160
2025-01-081.36901.6190
2025-01-071.36901.6190
2025-01-061.36901.6190
2025-01-031.36901.6190
2025-01-021.36901.6190
2024-12-311.36701.6170
2024-12-301.36601.6160
2024-12-271.36501.6150
2024-12-261.36201.6120
2024-12-251.36101.6110
2024-12-241.36301.6130
2024-12-231.36301.6130
2024-12-201.36301.6130
2024-12-191.36001.6100
2024-12-181.36101.6110
2024-12-171.36201.6120
2024-12-161.36301.6130
2024-12-131.36101.6110
2024-12-121.36101.6110
2024-12-111.35901.6090
2024-12-101.35901.6090
2024-12-091.35501.6050
2024-12-061.35401.6040
2024-12-051.35301.6030
2024-12-041.35301.6030
2024-12-031.35201.6020
2024-12-021.35201.6020
2024-11-291.34901.5990
2024-11-281.34601.5960
2024-11-271.34601.5960
2024-11-261.34301.5930
2024-11-251.34301.5930
2024-11-221.34201.5920
2024-11-211.34601.5960
2024-11-201.34301.5930
2024-11-191.34201.5920
2024-11-181.33901.5890
2024-11-151.34301.5930
2024-11-141.34601.5960
2024-11-131.34901.5990
2024-11-121.34701.5970
2024-11-111.34801.5980
2024-11-081.34701.5970
2024-11-071.34901.5990
2024-11-061.34301.5930
2024-11-051.34301.5930
2024-11-041.33801.5880
2024-11-011.33501.5850
2024-10-311.33401.5840
2024-10-301.33301.5830
2024-10-291.33401.5840
2024-10-281.33501.5850
2024-10-251.33601.5860
2024-10-241.33701.5870
2024-10-231.33801.5880
2024-10-221.34101.5910
2024-10-211.34201.5920
2024-10-181.34101.5910
2024-10-171.33301.5830
2024-10-161.33301.5830
2024-10-151.33401.5840