前海开源沪深300指数A
(000656.jj)沪深300 (半年) 前海开源基金管理有限公司持有人户数3.80万
成立日期2014-06-17
总资产规模
4.61亿 (2024-09-30)
基金类型指数型基金当前净值1.7748基金经理梁溥森管理费用率0.50%管托费用率0.10%持仓换手率29.91% (2024-06-30) 成立以来分红再投入年化收益率8.87%
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前海开源沪深300指数A(000656) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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前海开源沪深300指数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
2024-12-231.77482.1448
2024-12-201.77292.1429
2024-12-191.77992.1499
2024-12-181.77922.1492
2024-12-171.77072.1407
2024-12-161.76642.1364
2024-12-131.77522.1452
2024-12-121.81682.1868
2024-12-111.80012.1701
2024-12-101.80122.1712
2024-12-091.78932.1593
2024-12-061.79242.1624
2024-12-051.77132.1413
2024-12-041.77532.1453
2024-12-031.78372.1537
2024-12-021.78122.1512
2024-11-291.76802.1380
2024-11-281.74792.1179
2024-11-271.76252.1325
2024-11-261.73402.1040
2024-11-251.73752.1075
2024-11-221.74542.1154
2024-11-211.79802.1680
2024-11-201.79632.1663
2024-11-191.79182.1618
2024-11-181.78082.1508
2024-11-151.78872.1587
2024-11-141.81992.1899
2024-11-131.84872.2187
2024-11-121.83782.2078
2024-11-111.85462.2246
2024-11-081.84382.2138
2024-11-071.86132.2313
2024-11-061.80952.1795
2024-11-051.81842.1884
2024-11-041.77602.1460
2024-11-011.75332.1233
2024-10-311.75362.1236
2024-10-301.75272.1227
2024-10-291.76782.1378
2024-10-281.78302.1530
2024-10-251.77952.1495
2024-10-241.76542.1354
2024-10-231.78322.1532
2024-10-221.77542.1454
2024-10-211.76562.1356
2024-10-181.76132.1313
2024-10-171.70202.0720
2024-10-161.71902.0890
2024-10-151.72692.0969