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基金简称 |
今年以来 |
过去一年(52周) |
过去两年(104周) |
过去三年(156周) |
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净值 增长率 |
排名 |
净值 增长率 |
排名 |
净值 增长率 |
排名 |
净值 增长率 |
排名 |
|
广发理财30天债券(B类) |
4.24% |
3/42 |
4.50% |
2/42 |
7.78% |
3/42 |
12.76% |
5/37 |
广发理财7天债券(B类) |
4.18% |
5/42 |
4.37% |
6/42 |
7.48% |
11/42 |
12.46% |
10/37 |
广发活期宝货币(B类) |
4.17% |
2/202 |
4.38% |
4/198 |
-- |
-- |
-- |
-- |
广发活期宝货币(A类) |
3.99% |
7/227 |
4.18% |
9/222 |
6.85% |
27/177 |
11.51% |
7/130 |
广发现金宝场内货币(B类) |
3.97% |
1/6 |
4.18% |
1/6 |
7.07% |
1/6 |
11.08% |
1/5 |
广发理财30天债券(A类) |
3.96% |
3/39 |
4.20% |
3/39 |
7.16% |
4/38 |
11.80% |
5/37 |
广发理财7天债券(A类) |
3.90% |
6/39 |
4.07% |
7/39 |
6.86% |
13/38 |
11.49% |
10/37 |
广发现金宝场内货币(A类) |
3.37% |
1/6 |
3.55% |
1/6 |
5.77% |
1/6 |
9.06% |
1/5 |