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广发聚丰基金净值查询(270005)

今天最新净值 0.5303 0.0000 0.0000% 2024-04-18
盘中实时估值(仅供参考) 0.5306 -0.0112 -2.0636%
  • 累计净值:5.0333
  • 成立日期:2005-12-23
  • 基金类型:
  • 成立份额:13.159亿份
  • 最近份额:43.4591亿
  • 最近资产:
  • 基金公司:广发基金
  • 基金经理:邱璟旻
近一季广发聚丰基金净值查询
基金历史净值按日期查询: -
近一季,广发聚丰(270005)基金累计收益率-13.05%
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
2024-04-18 270005 广发聚丰 0.5418 5.0853 0.5398 5.0763 0.0020 0.37%
2024-04-17 270005 广发聚丰 0.5398 5.0763 0.5212 4.9921 0.0186 3.57%
2024-04-16 270005 广发聚丰 0.5212 4.9921 0.5404 5.0790 -0.0192 -3.55%
2024-04-15 270005 广发聚丰 0.5404 5.0790 0.5343 5.0514 0.0061 1.14%
2024-04-12 270005 广发聚丰 0.5343 5.0514 0.5317 5.0396 0.0026 0.49%
2024-04-11 270005 广发聚丰 0.5317 5.0396 0.5255 5.0115 0.0062 1.18%
2024-04-10 270005 广发聚丰 0.5255 5.0115 0.5246 5.0075 0.0009 0.17%
2024-04-09 270005 广发聚丰 0.5246 5.0075 0.5254 5.0111 -0.0008 -0.15%
2024-04-08 270005 广发聚丰 0.5254 5.0111 0.5316 5.0392 -0.0062 -1.17%
2024-04-03 270005 广发聚丰 0.5316 5.0392 0.5305 5.0342 0.0011 0.21%
2024-04-02 270005 广发聚丰 0.5305 5.0342 0.5319 5.0405 -0.0014 -0.26%
2024-04-01 270005 广发聚丰 0.5319 5.0405 0.5208 4.9903 0.0111 2.13%
2024-03-29 270005 广发聚丰 0.5208 4.9903 0.5122 4.9513 0.0086 1.68%
2024-03-28 270005 广发聚丰 0.5122 4.9513 0.5019 4.9047 0.0103 2.05%
2024-03-27 270005 广发聚丰 0.5019 4.9047 0.5112 4.9468 -0.0093 -1.82%
2024-03-26 270005 广发聚丰 0.5112 4.9468 0.5153 4.9654 -0.0041 -0.80%
2024-03-25 270005 广发聚丰 0.5153 4.9654 0.5224 4.9975 -0.0071 -1.36%
2024-03-22 270005 广发聚丰 0.5224 4.9975 0.5261 5.0143 -0.0037 -0.70%
2024-03-21 270005 广发聚丰 0.5261 5.0143 0.5305 5.0342 -0.0044 -0.83%
2024-03-20 270005 广发聚丰 0.5305 5.0342 0.5279 5.0224 0.0026 0.49%
2024-03-19 270005 广发聚丰 0.5279 5.0224 0.5345 5.0523 -0.0066 -1.23%
2024-03-18 270005 广发聚丰 0.5345 5.0523 0.5303 5.0333 0.0042 0.79%
2024-03-15 270005 广发聚丰 0.5303 5.0333 0.5303 5.0333 0.0000 0.00%
2024-03-14 270005 广发聚丰 0.5303 5.0333 0.5254 5.0111 0.0049 0.93%
2024-03-13 270005 广发聚丰 0.5254 5.0111 0.5236 5.0029 0.0018 0.34%
2024-03-12 270005 广发聚丰 0.5236 5.0029 0.5283 5.0242 -0.0047 -0.89%
2024-03-11 270005 广发聚丰 0.5283 5.0242 0.5292 5.0283 -0.0009 -0.17%
2024-03-08 270005 广发聚丰 0.5292 5.0283 0.5217 4.9943 0.0075 1.44%
2024-03-07 270005 广发聚丰 0.5217 4.9943 0.5264 5.0156 -0.0047 -0.89%
2024-03-06 270005 广发聚丰 0.5264 5.0156 0.5271 5.0188 -0.0007 -0.13%
2024-03-05 270005 广发聚丰 0.5271 5.0188 0.5354 5.0564 -0.0083 -1.55%
2024-03-04 270005 广发聚丰 0.5354 5.0564 0.5272 5.0192 0.0082 1.56%
2024-03-01 270005 广发聚丰 0.5272 5.0192 0.5235 5.0025 0.0037 0.71%
2024-02-29 270005 广发聚丰 0.5235 5.0025 0.5128 4.9540 0.0107 2.09%
2024-02-28 270005 广发聚丰 0.5128 4.9540 0.5303 5.0333 -0.0175 -3.30%
2024-02-27 270005 广发聚丰 0.5303 5.0333 0.5219 4.9952 0.0084 1.61%
2024-02-26 270005 广发聚丰 0.5219 4.9952 0.5188 4.9812 0.0031 0.60%
2024-02-23 270005 广发聚丰 0.5188 4.9812 0.5188 4.9812 0.0000 0.00%
2024-02-22 270005 广发聚丰 0.5188 4.9812 0.5126 4.9531 0.0062 1.21%
2024-02-21 270005 广发聚丰 0.5126 4.9531 0.5116 4.9486 0.0010 0.20%
2024-02-20 270005 广发聚丰 0.5116 4.9486 0.5057 4.9219 0.0059 1.17%
2024-02-19 270005 广发聚丰 0.5057 4.9219 0.4989 4.8911 0.0068 1.36%
2024-02-08 270005 广发聚丰 0.4989 4.8911 0.4863 4.8341 0.0126 2.59%
2024-02-07 270005 广发聚丰 0.4863 4.8341 0.4803 4.8069 0.0060 1.25%
2024-02-06 270005 广发聚丰 0.4803 4.8069 0.4566 4.6996 0.0237 5.19%
2024-02-05 270005 广发聚丰 0.4566 4.6996 0.4684 4.7530 -0.0118 -2.52%
2024-02-02 270005 广发聚丰 0.4684 4.7530 0.4822 4.8155 -0.0138 -2.86%
2024-02-01 270005 广发聚丰 0.4822 4.8155 0.4875 4.8395 -0.0053 -1.09%
2024-01-31 270005 广发聚丰 0.4875 4.8395 0.5027 4.9083 -0.0152 -3.02%
2024-01-30 270005 广发聚丰 0.5027 4.9083 0.5122 4.9513 -0.0095 -1.85%
2024-01-29 270005 广发聚丰 0.5122 4.9513 0.5264 5.0156 -0.0142 -2.70%
2024-01-26 270005 广发聚丰 0.5264 5.0156 0.5367 5.0622 -0.0103 -1.92%
2024-01-25 270005 广发聚丰 0.5367 5.0622 0.5224 4.9975 0.0143 2.74%
2024-01-24 270005 广发聚丰 0.5224 4.9975 0.5210 4.9912 0.0014 0.27%
2024-01-23 270005 广发聚丰 0.5210 4.9912 0.5175 4.9753 0.0035 0.68%
2024-01-22 270005 广发聚丰 0.5175 4.9753 0.5405 5.0794 -0.0230 -4.26%
2024-01-19 270005 广发聚丰 0.5405 5.0794 0.5427 5.0894 -0.0022 -0.41%