诺安积极回报混合A
(001706.jj)诺安基金管理有限公司持有人户数2.56万
成立日期2016-09-22
总资产规模
11.26亿 (2024-09-30)
基金类型混合型当前净值2.1860基金经理刘慧影管理费用率1.20%管托费用率0.15%持仓换手率231.62% (2024-06-30) 成立以来分红再投入年化收益率9.94%
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诺安积极回报混合A(001706) - 历史基金净值数据曲线

最后更新于:2024-12-23

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诺安积极回报混合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
2024-12-232.18602.1860
2024-12-202.27402.2740
2024-12-192.22502.2250
2024-12-182.18202.1820
2024-12-172.12902.1290
2024-12-162.19102.1910
2024-12-132.26002.2600
2024-12-122.31202.3120
2024-12-112.31502.3150
2024-12-102.32802.3280
2024-12-092.28802.2880
2024-12-062.31502.3150
2024-12-052.30402.3040
2024-12-042.28202.2820
2024-12-032.31202.3120
2024-12-022.35602.3560
2024-11-292.32502.3250
2024-11-282.26202.2620
2024-11-272.29302.2930
2024-11-262.22702.2270
2024-11-252.27302.2730
2024-11-222.27302.2730
2024-11-212.34802.3480
2024-11-202.31102.3110
2024-11-192.26302.2630
2024-11-182.19502.1950
2024-11-152.31302.3130
2024-11-142.41502.4150
2024-11-132.52602.5260
2024-11-122.52502.5250
2024-11-112.59702.5970
2024-11-082.47202.4720
2024-11-072.41702.4170
2024-11-062.36702.3670
2024-11-052.33302.3330
2024-11-042.21002.2100
2024-11-012.18902.1890
2024-10-312.28502.2850
2024-10-302.26802.2680
2024-10-292.24602.2460
2024-10-282.27402.2740
2024-10-252.26102.2610
2024-10-242.24802.2480
2024-10-232.24902.2490
2024-10-222.31102.3110
2024-10-212.30902.3090
2024-10-182.27602.2760
2024-10-172.11002.1100
2024-10-162.06902.0690
2024-10-152.09602.0960