设为首页 加入收藏
基金档案主页
基金数据
基金资讯
实用功能
主力数据
基金吧
查询基金净值
广发聚丰基金详情
广发聚丰基金(270005)历史净值

基金代码 起始日 终止日

截至日期 单位净值(元) 累计净值(元) 增长率(%)
2009-11-6 0.7864 4.3864 0.28%
2009-11-5 0.7842 4.3764 0.06%
2009-11-4 0.7837 4.3741 0.49%
2009-11-3 0.7799 4.3569 1.01%
2009-11-2 0.7721 4.3216 2.99%
2009-10-30 0.7497 4.2202 0.77%
2009-10-29 0.7440 4.1944 -1.95%
2009-10-28 0.7588 4.2614 0.74%
2009-10-27 0.7532 4.2361 -2.13%
2009-10-26 0.7696 4.3103 -0.50%
2009-10-23 0.7735 4.3280 1.50%
2009-10-22 0.7621 4.2764 -0.42%
2009-10-21 0.7653 4.2908 -0.91%
2009-10-20 0.7723 4.3225 1.22%
2009-10-19 0.7630 4.2804 1.96%
2009-10-16 0.7483 4.2139 0.24%
2009-10-15 0.7465 4.2057 0.15%
2009-10-14 0.7454 4.2008 0.28%
2009-10-13 0.7433 4.1912 1.14%
2009-10-12 0.7349 4.1532 -0.30%
2009-10-9 0.7371 4.1632 4.52%
2009-9-30 0.7052 4.0188 1.22%
2009-9-29 0.6967 3.9803 0.24%
2009-9-28 0.6950 3.9726 -1.73%
2009-9-25 0.7072 4.0278 -0.52%
2009-9-24 0.7109 4.0446 0.03%
2009-9-23 0.7107 4.0437 -2.09%
2009-9-22 0.7259 4.1125 -1.39%
2009-9-21 0.7361 4.1587 0.85%
2009-9-18 0.7299 4.1306 -3.16%
2009-9-17 0.7537 4.2383 1.17%
2009-9-16 0.7450 4.1989 -0.85%
2009-9-15 0.7514 4.2279 0.12%
2009-9-14 0.7505 4.2238 1.50%
2009-9-11 0.7394 4.1736 1.96%
2009-9-10 0.7252 4.1093 -0.70%
2009-9-9 0.7303 4.1324 0.62%
2009-9-8 0.7258 4.1120 2.47%
2009-9-7 0.7083 4.0328 0.68%
2009-9-4 0.7035 4.0111 0.69%
2009-9-3 0.6987 3.9893 4.39%
2009-9-2 0.6693 3.8563 1.61%
2009-9-1 0.6587 3.8083 0.34%
2009-8-31 0.6565 3.7983 -6.73%
2009-8-28 0.7039 4.0129 -3.04%
2009-8-27 0.7260 4.1129 -0.72%
2009-8-26 0.7313 4.1369 1.77%
2009-8-25 0.7186 4.0794 -2.62%
2009-8-24 0.7379 4.1668 ---
2009-8-21 0.7300 4.1310 2.43%
2009-8-20 0.7127 4.0527 3.83%
2009-8-19 0.6864 3.9337 -3.23%
2009-8-18 0.7093 4.0373 0.94%
2009-8-17 0.7027 4.0075 -5.27%
2009-8-14 0.7418 4.1845 -2.28%
2009-8-13 0.7591 4.2628 1.11%
2009-8-12 0.7508 4.2252 -3.78%
2009-8-11 0.7803 4.3587 0.52%
2009-8-10 0.7763 4.3406 0.22%
2009-8-7 0.7746 4.3329 -2.04%
2009-8-6 0.7907 4.4058 -1.78%
2009-8-5 0.8050 4.4706 -1.26%
2009-8-4 0.8153 4.5172 0.39%
2009-8-3 0.8121 4.5027 1.07%
2009-7-31 0.8035 4.4638 2.38%
2009-7-30 0.7848 4.3791 1.74%
2009-7-29 0.7714 4.3185 -4.89%
2009-7-28 0.8111 4.4982 -0.17%
2009-7-27 0.8125 4.5045 1.73%
2009-7-24 0.7987 4.4420 0.31%
2009-7-23 0.7962 4.4307 0.50%
2009-7-22 0.7922 4.4126 1.73%
2009-7-21 0.7787 4.3515 -1.53%
2009-7-20 0.7908 4.4063 1.88%
2009-7-17 0.7762 4.3402 0.82%
2009-7-16 0.7699 4.3117 0.25%
2009-7-15 0.7680 4.3031 0.18%
2009-7-14 0.7666 4.2967 1.91%
2009-7-13 0.7522 4.2315 -0.90%
2009-7-10 0.7590 4.2623 0.09%
2009-7-9 0.7583 4.2592 1.04%
2009-7-8 0.7505 4.2238 0.78%
2009-7-7 0.7447 4.1976 -1.27%
2009-7-6 0.7543 4.2410 0.37%
2009-7-3 0.7515 4.2284 1.12%
2009-7-2 0.7432 4.1908 1.42%
2009-7-1 0.7328 4.1437 1.64%
2009-6-30 0.7210 4.0903 -0.22%
2009-6-29 0.7226 4.0975 1.98%
2009-6-26 0.7086 4.0342 1.98%
2009-6-25 0.7040 4.0133 0.28%
2009-6-24 0.7020 4.0043 1.50%
2009-6-23 0.6916 3.9572 -0.27%
2009-6-22 0.6935 3.9658 -0.53%
2009-6-19 0.6972 3.9826 -0.30%
2009-6-18 0.6993 3.9921 1.67%
2009-6-17 0.6878 3.9400 1.84%
2009-6-16 0.6754 3.8839 -0.18%
2009-6-15 0.6766 3.8893 1.77%
2009-6-12 0.6648 3.8359 -1.63%


将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

免责声明    关于我们    征稿启事    广告服务    联系我们    友情链接    服务条款    法律声明    意见与建议

 [沪ICP证:沪B2-20070217] 版权所有: 天天基金网   建议及投诉热线:021-54509980