新华外延增长主题灵活配置混合
(003238.jj)新华基金管理股份有限公司
成立日期2017-03-02
总资产规模
8,174.06万 (2024-06-30)
基金类型混合型当前净值1.3280基金经理邓岳管理费用率1.20%管托费用率0.20%持仓换手率620.87% (2023-12-31) 成立以来分红再投入年化收益率7.05%
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新华外延增长主题灵活配置混合(003238) - 历史基金累计净值数据曲线

最后更新于:2024-07-30

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新华外延增长主题灵活配置混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-301.32801.7180
2024-07-291.33031.7203
2024-07-261.33991.7299
2024-07-251.32131.7113
2024-07-241.32021.7102
2024-07-231.33361.7236
2024-07-221.36791.7579
2024-07-191.37441.7644
2024-07-181.37871.7687
2024-07-171.37181.7618
2024-07-161.38241.7724
2024-07-151.37941.7694
2024-07-121.38671.7767
2024-07-111.39331.7833
2024-07-101.36821.7582
2024-07-091.37491.7649
2024-07-081.35031.7403
2024-07-051.37501.7650
2024-07-041.36631.7563
2024-07-031.38851.7785
2024-07-021.39831.7883
2024-07-011.41311.8031
2024-06-281.39551.7855
2024-06-271.38801.7780
2024-06-261.40901.7990
2024-06-251.38641.7764
2024-06-241.38951.7795
2024-06-211.41961.8096
2024-06-201.41751.8075
2024-06-191.43361.8236
2024-06-181.44641.8364
2024-06-171.43941.8294
2024-06-141.44521.8352
2024-06-131.44131.8313
2024-06-121.44971.8397
2024-06-111.44741.8374
2024-06-071.45291.8429
2024-06-061.45041.8404
2024-06-051.46091.8509
2024-06-041.47791.8679
2024-06-031.46441.8544
2024-05-311.47601.8660
2024-05-301.47441.8644
2024-05-291.47801.8680
2024-05-281.47431.8643
2024-05-271.48841.8784
2024-05-241.47201.8620
2024-05-231.47861.8686
2024-05-221.50141.8914
2024-05-211.50781.8978