金信深圳成长混合A
(002863.jj)金信基金管理有限公司持有人户数1.13万
成立日期2016-12-22
总资产规模
2.06亿 (2024-09-30)
基金类型混合型当前净值2.5707基金经理黄飙管理费用率1.20%管托费用率0.20%持仓换手率134.43% (2024-06-30) 成立以来分红再投入年化收益率12.52%
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金信深圳成长混合A(002863) - 历史基金净值数据曲线

最后更新于:2024-12-24

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金信深圳成长混合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
2024-12-242.57072.5707
2024-12-232.54642.5464
2024-12-202.59762.5976
2024-12-192.57562.5756
2024-12-182.57382.5738
2024-12-172.56662.5666
2024-12-162.59792.5979
2024-12-132.62882.6288
2024-12-122.68582.6858
2024-12-112.69012.6901
2024-12-102.67342.6734
2024-12-092.62972.6297
2024-12-062.64322.6432
2024-12-052.62382.6238
2024-12-042.61102.6110
2024-12-032.64092.6409
2024-12-022.65162.6516
2024-11-292.61232.6123
2024-11-282.56622.5662
2024-11-272.57472.5747
2024-11-262.55112.5511
2024-11-252.57242.5724
2024-11-222.56812.5681
2024-11-212.63492.6349
2024-11-202.64002.6400
2024-11-192.62772.6277
2024-11-182.57512.5751
2024-11-152.61592.6159
2024-11-142.66572.6657
2024-11-132.72422.7242
2024-11-122.70832.7083
2024-11-112.74242.7424
2024-11-082.62792.6279
2024-11-072.60902.6090
2024-11-062.58262.5826
2024-11-052.58762.5876
2024-11-042.51632.5163
2024-11-012.43952.4395
2024-10-312.51752.5175
2024-10-302.50372.5037
2024-10-292.50312.5031
2024-10-282.52742.5274
2024-10-252.50962.5096
2024-10-242.43472.4347
2024-10-232.45832.4583
2024-10-222.46372.4637
2024-10-212.46352.4635
2024-10-182.42302.4230
2024-10-172.29882.2988
2024-10-162.29772.2977