广发品质回报混合C基金净值查询(009120)
今天最新净值
0.7883
-0.0072 -0.91%
2025-12-17
盘中实时估值(仅供参考)
0.7989
0.0106 1.3491%
- 累计净值:0.7883
- 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:5.67亿
- 基金公司:广发基金
- 基金经理:张东一
近一季,广发品质回报混合C(009120)基金累计收益率-6.61%
| 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 |
| 2025-12-17 |
009120 |
广发品质回报混合C |
0.8056 |
0.8056 |
0.7883 |
0.7883 |
0.0173 |
2.19% |
| 2025-12-16 |
009120 |
广发品质回报混合C |
0.7883 |
0.7883 |
0.7955 |
0.7955 |
-0.0072 |
-0.91% |
| 2025-12-15 |
009120 |
广发品质回报混合C |
0.7955 |
0.7955 |
0.8058 |
0.8058 |
-0.0103 |
-1.28% |
| 2025-12-12 |
009120 |
广发品质回报混合C |
0.8058 |
0.8058 |
0.8012 |
0.8012 |
0.0046 |
0.57% |
| 2025-12-11 |
009120 |
广发品质回报混合C |
0.8012 |
0.8012 |
0.8125 |
0.8125 |
-0.0113 |
-1.39% |
| 2025-12-10 |
009120 |
广发品质回报混合C |
0.8125 |
0.8125 |
0.8158 |
0.8158 |
-0.0033 |
-0.40% |
| 2025-12-09 |
009120 |
广发品质回报混合C |
0.8158 |
0.8158 |
0.8246 |
0.8246 |
-0.0088 |
-1.07% |
| 2025-12-08 |
009120 |
广发品质回报混合C |
0.8246 |
0.8246 |
0.8160 |
0.8160 |
0.0086 |
1.05% |
| 2025-12-05 |
009120 |
广发品质回报混合C |
0.8160 |
0.8160 |
0.8104 |
0.8104 |
0.0056 |
0.69% |
| 2025-12-04 |
009120 |
广发品质回报混合C |
0.8104 |
0.8104 |
0.8061 |
0.8061 |
0.0043 |
0.53% |
|
|
| 2025-12-03 |
009120 |
广发品质回报混合C |
0.8061 |
0.8061 |
0.8185 |
0.8185 |
-0.0124 |
-1.51% |
| 2025-12-02 |
009120 |
广发品质回报混合C |
0.8185 |
0.8185 |
0.8239 |
0.8239 |
-0.0054 |
-0.66% |
| 2025-12-01 |
009120 |
广发品质回报混合C |
0.8239 |
0.8239 |
0.8167 |
0.8167 |
0.0072 |
0.88% |
| 2025-11-28 |
009120 |
广发品质回报混合C |
0.8167 |
0.8167 |
0.8064 |
0.8064 |
0.0103 |
1.28% |
| 2025-11-27 |
009120 |
广发品质回报混合C |
0.8064 |
0.8064 |
0.8067 |
0.8067 |
-0.0003 |
-0.04% |
| 2025-11-26 |
009120 |
广发品质回报混合C |
0.8067 |
0.8067 |
0.7974 |
0.7974 |
0.0093 |
1.17% |
| 2025-11-25 |
009120 |
广发品质回报混合C |
0.7974 |
0.7974 |
0.7914 |
0.7914 |
0.0060 |
0.76% |
| 2025-11-24 |
009120 |
广发品质回报混合C |
0.7914 |
0.7914 |
0.7814 |
0.7814 |
0.0100 |
1.28% |
| 2025-11-21 |
009120 |
广发品质回报混合C |
0.7814 |
0.7814 |
0.8010 |
0.8010 |
-0.0196 |
-2.45% |
| 2025-11-20 |
009120 |
广发品质回报混合C |
0.8010 |
0.8010 |
0.8064 |
0.8064 |
-0.0054 |
-0.67% |
| 2025-11-19 |
009120 |
广发品质回报混合C |
0.8064 |
0.8064 |
0.8099 |
0.8099 |
-0.0035 |
-0.43% |
| 2025-11-18 |
009120 |
广发品质回报混合C |
0.8099 |
0.8099 |
0.8214 |
0.8214 |
-0.0115 |
-1.40% |
| 2025-11-17 |
009120 |
广发品质回报混合C |
0.8214 |
0.8214 |
0.8179 |
0.8179 |
0.0035 |
0.43% |
| 2025-11-14 |
009120 |
广发品质回报混合C |
0.8179 |
0.8179 |
0.8316 |
0.8316 |
-0.0137 |
-1.65% |
| 2025-11-13 |
009120 |
广发品质回报混合C |
0.8316 |
0.8316 |
0.8183 |
0.8183 |
0.0133 |
1.63% |
|
|
| 2025-11-12 |
009120 |
广发品质回报混合C |
0.8183 |
0.8183 |
0.8185 |
0.8185 |
-0.0002 |
-0.02% |
| 2025-11-11 |
009120 |
广发品质回报混合C |
0.8185 |
0.8185 |
0.8222 |
0.8222 |
-0.0037 |
-0.45% |
| 2025-11-10 |
009120 |
广发品质回报混合C |
0.8222 |
0.8222 |
0.8177 |
0.8177 |
0.0045 |
0.55% |
| 2025-11-07 |
009120 |
广发品质回报混合C |
0.8177 |
0.8177 |
0.8329 |
0.8329 |
-0.0152 |
-1.82% |
| 2025-11-06 |
009120 |
广发品质回报混合C |
0.8329 |
0.8329 |
0.8146 |
0.8146 |
0.0183 |
2.25% |
| 2025-11-05 |
009120 |
广发品质回报混合C |
0.8146 |
0.8146 |
0.8163 |
0.8163 |
-0.0017 |
-0.21% |
| 2025-11-04 |
009120 |
广发品质回报混合C |
0.8163 |
0.8163 |
0.8339 |
0.8339 |
-0.0176 |
-2.11% |
| 2025-11-03 |
009120 |
广发品质回报混合C |
0.8339 |
0.8339 |
0.8343 |
0.8343 |
-0.0004 |
-0.05% |
| 2025-10-31 |
009120 |
广发品质回报混合C |
0.8343 |
0.8343 |
0.8445 |
0.8445 |
-0.0102 |
-1.21% |
| 2025-10-30 |
009120 |
广发品质回报混合C |
0.8445 |
0.8445 |
0.8528 |
0.8528 |
-0.0083 |
-0.97% |
| 2025-10-29 |
009120 |
广发品质回报混合C |
0.8528 |
0.8528 |
0.8499 |
0.8499 |
0.0029 |
0.34% |
| 2025-10-28 |
009120 |
广发品质回报混合C |
0.8499 |
0.8499 |
0.8543 |
0.8543 |
-0.0044 |
-0.52% |
| 2025-10-27 |
009120 |
广发品质回报混合C |
0.8543 |
0.8543 |
0.8376 |
0.8376 |
0.0167 |
1.99% |
| 2025-10-24 |
009120 |
广发品质回报混合C |
0.8376 |
0.8376 |
0.8200 |
0.8200 |
0.0176 |
2.15% |
| 2025-10-23 |
009120 |
广发品质回报混合C |
0.8200 |
0.8200 |
0.8254 |
0.8254 |
-0.0054 |
-0.65% |
| 2025-10-22 |
009120 |
广发品质回报混合C |
0.8254 |
0.8254 |
0.8317 |
0.8317 |
-0.0063 |
-0.76% |
| 2025-10-21 |
009120 |
广发品质回报混合C |
0.8317 |
0.8317 |
0.8235 |
0.8235 |
0.0082 |
1.00% |
| 2025-10-20 |
009120 |
广发品质回报混合C |
0.8235 |
0.8235 |
0.8123 |
0.8123 |
0.0112 |
1.38% |
| 2025-10-17 |
009120 |
广发品质回报混合C |
0.8123 |
0.8123 |
0.8374 |
0.8374 |
-0.0251 |
-3.00% |
| 2025-10-16 |
009120 |
广发品质回报混合C |
0.8374 |
0.8374 |
0.8371 |
0.8371 |
0.0003 |
0.04% |
| 2025-10-15 |
009120 |
广发品质回报混合C |
0.8371 |
0.8371 |
0.8157 |
0.8157 |
0.0214 |
2.62% |
| 2025-10-14 |
009120 |
广发品质回报混合C |
0.8157 |
0.8157 |
0.8441 |
0.8441 |
-0.0284 |
-3.36% |
| 2025-10-13 |
009120 |
广发品质回报混合C |
0.8441 |
0.8441 |
0.8527 |
0.8527 |
-0.0086 |
-1.01% |
| 2025-10-10 |
009120 |
广发品质回报混合C |
0.8527 |
0.8527 |
0.8772 |
0.8772 |
-0.0245 |
-2.79% |
| 2025-10-09 |
009120 |
广发品质回报混合C |
0.8772 |
0.8772 |
0.8844 |
0.8844 |
-0.0072 |
-0.81% |
| 2025-09-30 |
009120 |
广发品质回报混合C |
0.8844 |
0.8844 |
0.8729 |
0.8729 |
0.0115 |
1.32% |
| 2025-09-29 |
009120 |
广发品质回报混合C |
0.8729 |
0.8729 |
0.8549 |
0.8549 |
0.0180 |
2.11% |
| 2025-09-26 |
009120 |
广发品质回报混合C |
0.8549 |
0.8549 |
0.8738 |
0.8738 |
-0.0189 |
-2.16% |
| 2025-09-25 |
009120 |
广发品质回报混合C |
0.8738 |
0.8738 |
0.8669 |
0.8669 |
0.0069 |
0.80% |
| 2025-09-24 |
009120 |
广发品质回报混合C |
0.8669 |
0.8669 |
0.8516 |
0.8516 |
0.0153 |
1.80% |
| 2025-09-23 |
009120 |
广发品质回报混合C |
0.8516 |
0.8516 |
0.8587 |
0.8587 |
-0.0071 |
-0.83% |
| 2025-09-22 |
009120 |
广发品质回报混合C |
0.8587 |
0.8587 |
0.8418 |
0.8418 |
0.0169 |
2.01% |
| 2025-09-19 |
009120 |
广发品质回报混合C |
0.8418 |
0.8418 |
0.8514 |
0.8514 |
-0.0096 |
-1.13% |
| 2025-09-18 |
009120 |
广发品质回报混合C |
0.8514 |
0.8514 |
0.8505 |
0.8505 |
0.0009 |
0.11% |