| 权益登记日 | 除息日 | 分红发放日 | 分红 |
| 2026-08-24 | 2026-08-24 | 2026-08-25 | 每份派现金0.0061元 |
| 2026-05-27 | 2026-05-27 | 2026-05-28 | 每份派现金0.0076元 |
| 2026-03-26 | 2026-03-26 | 2026-03-27 | 每份派现金0.0054元 |
| 2025-10-21 | 2025-10-21 | 2025-10-22 | 每份派现金0.0050元 |
| 2025-04-14 | 2025-04-14 | 2025-04-15 | 每份派现金0.0045元 |
| 2025-01-14 | 2025-01-14 | 2025-01-15 | 每份派现金0.0043元 |
| 2024-10-18 | 2024-10-18 | 2024-10-21 | 每份派现金0.0041元 |
| 2024-07-11 | 2024-07-11 | 2024-07-12 | 每份派现金0.0036元 |
| 2024-03-13 | 2024-03-13 | 2024-03-14 | 每份派现金0.0025元 |
| 2024-01-11 | 2024-01-11 | 2024-01-12 | 每份派现金0.0021元 |
| 2022-10-18 | 2022-10-18 | 2022-10-19 | 每份派现金0.0041元 |
| 2022-07-13 | 2022-07-13 | 2022-07-14 | 每份派现金0.0031元 |
| 2022-04-15 | 2022-04-15 | 2022-04-18 | 每份派现金0.0024元 |
| 2022-01-17 | 2022-01-17 | 2022-01-18 | 每份派现金0.0104元 |
| 2021-10-19 | 2021-10-19 | 2021-10-20 | 每份派现金0.0019元 |
| 2021-06-18 | 2021-06-18 | 2021-06-22 | 每份派现金0.0100元 |
| 2021-03-22 | 2021-03-22 | 2021-03-24 | 每份派现金0.0140元 |
| 2020-12-11 | 2020-12-11 | 2020-12-15 | 每份派现金0.0021元 |
| 2020-09-14 | 2020-09-14 | 2020-09-16 | 每份派现金0.0015元 |
| 2020-06-15 | 2020-06-15 | 2020-06-17 | 每份派现金0.0030元 |
| 2020-03-26 | 2020-03-26 | 2020-03-30 | 每份派现金0.0120元 |
| 2019-12-10 | 2019-12-10 | 2019-12-12 | 每份派现金0.0017元 |
| 2019-09-03 | 2019-09-03 | 2019-09-05 | 每份派现金0.0075元 |
| 2019-06-11 | 2019-06-11 | 2019-06-13 | 每份派现金0.0050元 |
| 2019-03-12 | 2019-03-12 | 2019-03-14 | 每份派现金0.0051元 |
| 基金名称 | 单位净值 | 日增长率 |
| 广发新兴成长混合A | 2.6965 | 5.02% |
| 广发鑫源混合A | 1.1628 | 4.55% |
| 广发产业甄选混合C | 1.6804 | 4.55% |
| 广发鑫源混合C | 1.1618 | 4.54% |
| 广发产业甄选混合A | 1.6981 | 4.54% |
| 广发沪港深价值精选混合A | 0.7177 | 4.50% |
| 芯片ETF广发 | 1.1153 | 4.14% |
| 上证科创 | 1.0261 | 3.97% |