嘉实价值精选股票
(005267.jj)嘉实基金管理有限公司持有人户数28.04万
成立日期2017-11-06
总资产规模
48.30亿 (2024-09-30)
基金类型股票型当前净值2.0130基金经理谭丽管理费用率1.20%管托费用率0.20%持仓换手率29.16% (2024-06-30) 成立以来分红再投入年化收益率10.30%
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嘉实价值精选股票(005267) - 历史基金净值数据曲线

最后更新于:2024-12-25

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嘉实价值精选股票历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-252.01302.0130
2024-12-242.02462.0246
2024-12-231.99141.9914
2024-12-201.98451.9845
2024-12-192.00342.0034
2024-12-182.01722.0172
2024-12-172.01122.0112
2024-12-162.00432.0043
2024-12-132.01692.0169
2024-12-122.04992.0499
2024-12-112.03222.0322
2024-12-102.03312.0331
2024-12-092.02182.0218
2024-12-062.01572.0157
2024-12-051.99341.9934
2024-12-042.00482.0048
2024-12-032.00552.0055
2024-12-021.99481.9948
2024-11-291.98221.9822
2024-11-281.96741.9674
2024-11-271.98431.9843
2024-11-261.96271.9627
2024-11-251.97691.9769
2024-11-221.98171.9817
2024-11-212.03832.0383
2024-11-202.04052.0405
2024-11-192.02952.0295
2024-11-182.02062.0206
2024-11-152.02032.0203
2024-11-142.03732.0373
2024-11-132.06252.0625
2024-11-122.05482.0548
2024-11-112.08162.0816
2024-11-082.10652.1065
2024-11-072.12542.1254
2024-11-062.07292.0729
2024-11-052.08952.0895
2024-11-042.06482.0648
2024-11-012.05072.0507
2024-10-312.03482.0348
2024-10-302.03782.0378
2024-10-292.04252.0425
2024-10-282.07362.0736
2024-10-252.04502.0450
2024-10-242.04582.0458
2024-10-232.06952.0695
2024-10-222.06162.0616
2024-10-212.04152.0415
2024-10-182.05242.0524
2024-10-172.01742.0174