前海开源沪港深创新成长混合A
(002666.jj)前海开源基金管理有限公司持有人户数1.74万
成立日期2016-06-24
总资产规模
3.42亿 (2024-09-30)
基金类型混合型当前净值1.3690基金经理章俊管理费用率1.20%管托费用率0.20%持仓换手率198.27% (2024-06-30) 成立以来分红再投入年化收益率4.62%
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前海开源沪港深创新成长混合A(002666) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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前海开源沪港深创新成长混合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
2024-12-231.36901.4490
2024-12-201.37401.4540
2024-12-191.37501.4550
2024-12-181.37901.4590
2024-12-171.37201.4520
2024-12-161.38101.4610
2024-12-131.39101.4710
2024-12-121.41501.4950
2024-12-111.41401.4940
2024-12-101.40701.4870
2024-12-091.40501.4850
2024-12-061.40301.4830
2024-12-051.39901.4790
2024-12-041.40001.4800
2024-12-031.40901.4890
2024-12-021.40601.4860
2024-11-291.39701.4770
2024-11-281.38801.4680
2024-11-271.39601.4760
2024-11-261.37801.4580
2024-11-251.38001.4600
2024-11-221.37601.4560
2024-11-211.39501.4750
2024-11-201.40301.4830
2024-11-191.39301.4730
2024-11-181.38501.4650
2024-11-151.39401.4740
2024-11-141.40501.4850
2024-11-131.42701.5070
2024-11-121.42701.5070
2024-11-111.43301.5130
2024-11-081.43101.5110
2024-11-071.43701.5170
2024-11-061.43001.5100
2024-11-051.43701.5170
2024-11-041.42201.5020
2024-11-011.41501.4950
2024-10-311.42001.5000
2024-10-301.42201.5020
2024-10-291.43501.5150
2024-10-281.44801.5280
2024-10-251.43801.5180
2024-10-241.43001.5100
2024-10-231.43701.5170
2024-10-221.43401.5140
2024-10-211.42401.5040
2024-10-181.43101.5110
2024-10-171.41001.4900
2024-10-161.41301.4930
2024-10-151.41601.4960