嘉实全球互联网股票型证券投资基金-人民币
(000988.jj)嘉实基金管理有限公司
成立日期2015-04-15
总资产规模
8.95亿 (2024-06-30)
基金类型QDII当前净值1.9980基金经理王鑫晨管理费用率1.80%管托费用率0.35%持仓换手率63.48% (2024-06-30) 成立以来分红再投入年化收益率7.67%
备注 (0): 双击编辑备注
发表讨论

嘉实全球互联网股票型证券投资基金-人民币(000988) - 历史基金净值数据曲线

最后更新于:2024-08-29

数据选项
加载中......
嘉实全球互联网股票型证券投资基金-人民币历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-08-291.99801.9980
2024-08-281.94101.9410
2024-08-272.01202.0120
2024-08-262.06602.0660
2024-08-232.13302.1330
2024-08-222.14302.1430
2024-08-212.16602.1660
2024-08-202.16302.1630
2024-08-192.22302.2230
2024-08-162.19702.1970
2024-08-152.16302.1630
2024-08-142.16302.1630
2024-08-132.20402.2040
2024-08-122.18302.1830
2024-08-092.16202.1620
2024-08-082.17202.1720
2024-08-072.14102.1410
2024-08-062.16602.1660
2024-08-052.10602.1060
2024-08-022.09202.0920
2024-08-012.15302.1530
2024-07-312.21502.2150
2024-07-302.18802.1880
2024-07-292.22702.2270
2024-07-262.21402.2140
2024-07-252.18002.1800
2024-07-242.22302.2230
2024-07-232.26302.2630
2024-07-222.30502.3050
2024-07-192.25202.2520
2024-07-182.27302.2730
2024-07-172.28202.2820
2024-07-162.31202.3120
2024-07-152.33602.3360
2024-07-122.41202.4120
2024-07-112.38502.3850
2024-07-102.36402.3640
2024-07-092.35902.3590
2024-07-082.33202.3320
2024-07-052.35902.3590
2024-07-042.38302.3830
2024-07-032.37702.3770
2024-07-022.31202.3120
2024-07-012.28902.2890
2024-06-282.28402.2840
2024-06-272.29402.2940
2024-06-262.33502.3350
2024-06-252.34102.3410
2024-06-242.34902.3490
2024-06-212.32402.3240