首页 - 基金理财 - 历史净值
广发美国房地产指数证券投资基金
日期 单位净值 累计净值
20231108 1.0420 1.0810
20231107 1.0360 1.0750
20231106 1.0460 1.0850
20231103 1.0600 1.0990
20231102 1.0410 1.0800
20231101 1.0120 1.0510
20231031 1.0050 1.0440
20231030 0.9900 1.0290
20231027 0.9850 1.0240
20231026 1.0010 1.0400
20231025 0.9890 1.0280
20231024 1.0100 1.0490
20231023 1.0000 1.0390
20231020 1.0100 1.0490
20231019 1.0180 1.0570
20231018 1.0390 1.0780
20231017 1.0600 1.0990
20231016 1.0590 1.0980
20231013 1.0470 1.0860
20231012 1.0500 1.0890