| 权益登记日 | 除息日 | 分红发放日 | 分红 |
| 2026-07-10 | 2026-07-10 | 2026-07-13 | 每份派现金0.0086元 |
| 2026-04-14 | 2026-04-14 | 2026-04-15 | 每份派现金0.0078元 |
| 2025-10-21 | 2025-10-21 | 2025-10-22 | 每份派现金0.0021元 |
| 2025-07-11 | 2025-07-11 | 2025-07-14 | 每份派现金0.0019元 |
| 2025-03-27 | 2025-03-27 | 2025-03-28 | 每份派现金0.0031元 |
| 2025-01-14 | 2025-01-14 | 2025-01-15 | 每份派现金0.0016元 |
| 2024-10-18 | 2024-10-18 | 2024-10-21 | 每份派现金0.0009元 |
| 2024-06-12 | 2024-06-12 | 2024-06-13 | 每份派现金0.0143元 |
| 2024-04-12 | 2024-04-12 | 2024-04-15 | 每份派现金0.0007元 |
| 2024-01-11 | 2024-01-11 | 2024-01-12 | 每份派现金0.0004元 |
| 2023-10-18 | 2023-10-18 | 2023-10-19 | 每份派现金0.0084元 |
| 2022-10-18 | 2022-10-18 | 2022-10-19 | 每份派现金0.0006元 |
| 2022-06-13 | 2022-06-13 | 2022-06-14 | 每份派现金0.0122元 |
| 2022-03-22 | 2022-03-22 | 2022-03-23 | 每份派现金0.0257元 |
| 2022-01-17 | 2022-01-17 | 2022-01-18 | 每份派现金0.0013元 |
| 2021-10-20 | 2021-10-20 | 2021-10-21 | 每份派现金0.0315元 |
| 2021-07-14 | 2021-07-14 | 2021-07-16 | 每份派现金0.0023元 |
| 2021-04-14 | 2021-04-14 | 2021-04-16 | 每份派现金0.0020元 |
| 2020-12-11 | 2020-12-11 | 2020-12-15 | 每份派现金0.0014元 |
| 2020-09-14 | 2020-09-14 | 2020-09-16 | 每份派现金0.0012元 |
| 2020-06-10 | 2020-06-10 | 2020-06-12 | 每份派现金0.0011元 |
| 2020-03-13 | 2020-03-13 | 2020-03-17 | 每份派现金0.0006元 |
| 基金名称 | 单位净值 | 日增长率 |
| 广发产业甄选混合A | 1.7734 | 4.32% |
| 广发产业甄选混合C | 1.7548 | 4.32% |
| 广发沪港深价值精选混合C | 0.7221 | 4.30% |
| 广发沪港深价值精选混合A | 0.7387 | 4.29% |
| 芯设计GF | 0.6774 | 3.94% |
| 广发成长领航一年持有混合A | 2.2923 | 3.68% |
| 广发成长领航一年持有混合C | 2.2501 | 3.68% |
| 广发中小盘精选混合A | 3.1928 | 3.58% |