工银信息产业混合A
(000263.jj ) 工银瑞信基金管理有限公司
基金类型混合型成立日期2013-11-11总资产规模8.91亿 (2025-03-31) 基金净值2.8730 (2025-04-30) 基金经理单文管理费用率1.20%管托费用率0.20% (2024-12-31) 持仓换手率106.49% (2024-12-31) 成立以来分红再投入年化收益率11.12%
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工银信息产业混合A(000263) - 历史基金净值数据曲线

最后更新于:2025-04-30

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工银信息产业混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-04-302.87303.1500
2025-04-292.87303.1500
2025-04-282.86903.1460
2025-04-252.88103.1580
2025-04-242.87803.1550
2025-04-232.88903.1660
2025-04-222.89003.1670
2025-04-212.90403.1810
2025-04-182.86603.1430
2025-04-172.86103.1380
2025-04-162.85103.1280
2025-04-152.87603.1530
2025-04-142.88203.1590
2025-04-112.87903.1560
2025-04-102.84903.1260
2025-04-092.81203.0890
2025-04-082.77203.0490
2025-04-072.77203.0490
2025-04-032.98803.2650
2025-04-023.04703.3240
2025-04-013.04803.3250
2025-03-313.04503.3220
2025-03-283.05103.3280
2025-03-273.06003.3370
2025-03-263.05403.3310
2025-03-253.06103.3380
2025-03-243.06603.3430
2025-03-213.06603.3430
2025-03-203.11603.3930
2025-03-193.13903.4160
2025-03-183.16303.4400
2025-03-173.15303.4300
2025-03-143.16403.4410
2025-03-133.11103.3880
2025-03-123.12703.4040
2025-03-113.12703.4040
2025-03-103.12503.4020
2025-03-073.14003.4170
2025-03-063.13803.4150
2025-03-053.09403.3710
2025-03-043.08303.3600
2025-03-033.07203.3490
2025-02-283.07603.3530
2025-02-273.16503.4420
2025-02-263.18803.4650
2025-02-253.16103.4380
2025-02-243.20303.4800
2025-02-213.24803.5250
2025-02-203.16803.4450
2025-02-193.14803.4250