长信利尚一年定开混合
(004607.jj)长信基金管理有限责任公司持有人户数431.00
成立日期2017-11-17
总资产规模
2,896.85万 (2024-09-30)
基金类型混合型当前净值1.1012基金经理何增华管理费用率0.70%管托费用率0.20%持仓换手率411.22% (2024-06-30) 成立以来分红再投入年化收益率4.20%
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长信利尚一年定开混合(004607) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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长信利尚一年定开混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.10121.3052
2024-12-131.10311.3071
2024-12-061.09941.3034
2024-11-291.09581.2998
2024-11-221.09651.3005
2024-11-151.09701.3010
2024-11-081.09951.3035
2024-11-011.09591.2999
2024-10-251.09721.3012
2024-10-181.10051.3045
2024-10-111.09981.3038
2024-09-301.08761.2916
2024-09-271.05401.2580
2024-09-201.00431.2083
2024-09-131.00381.2078
2024-09-061.00231.2063
2024-08-301.00181.2058
2024-08-231.00171.2057
2024-08-161.00131.2053
2024-08-091.00171.2057
2024-08-021.00201.2060
2024-07-261.00331.2073
2024-07-191.00391.2079
2024-07-121.00721.2112
2024-07-051.00371.2077
2024-06-281.00641.2104
2024-06-211.00721.2112
2024-06-141.00721.2112
2024-06-071.00701.2110
2024-05-311.00671.2107
2024-05-241.00791.2119
2024-05-171.01131.2153
2024-05-101.01531.2193
2024-04-301.01141.2154
2024-04-261.01081.2148
2024-04-191.01451.2185
2024-04-121.01021.2142
2024-04-031.00931.2133
2024-03-291.00751.2115
2024-03-221.00691.2109
2024-03-151.00551.2095
2024-03-080.99951.2035
2024-03-070.99781.2018
2024-03-060.99781.2018
2024-03-050.99801.2020
2024-03-041.00001.2040
2024-03-010.99961.2036
2024-02-290.99781.2018
2024-02-280.99281.1968
2024-02-271.00191.2059