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广发货币市场基金份额 C (港币) 累积
ISIN: HK0000934346
日涨跌幅(05-15)
+0.04%
单位净值(05-15)
1.004748
基本资料
管理公司:
GF International Investment Management Limited
发行日期:
2025-08-13
基金规模:
34.26亿
投资板块:
--
地理分布:
--
管理费率:
+0.30%
近一月
近三月
近六月
近一年
近三年
近一周
+0.08%
近一月
+0.26%
近三月
-1.14%
近六月
+0.75%
今年以来
+0.17%
近一年
--
近二年
--
近三年
--
近五年
--
热议股票
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