南华丰淳混合A
(005296.jj)南华基金管理有限公司
成立日期2017-12-26
总资产规模
2.67亿 (2024-06-30)
基金类型混合型当前净值1.0638基金经理沈致远田逸乐管理费用率1.00%管托费用率0.20%持仓换手率30.86% (2024-06-30) 成立以来分红再投入年化收益率2.58%异常提示: 该基金于2021-03-11基金净值和阶段涨幅出现异常波动,可能是由于巨额赎回等原因所导致。
备注 (1): 双击编辑备注
发表讨论

南华丰淳混合A(005296) - 历史基金净值数据曲线

最后更新于:2024-08-30

数据选项
加载中......
南华丰淳混合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
2024-08-301.06381.2426
2024-08-291.04491.2237
2024-08-281.02171.2005
2024-08-271.02281.2016
2024-08-261.03351.2123
2024-08-231.03561.2144
2024-08-221.03431.2131
2024-08-211.04351.2223
2024-08-201.04511.2239
2024-08-191.06061.2394
2024-08-161.06481.2436
2024-08-151.06581.2446
2024-08-141.05681.2356
2024-08-131.07021.2490
2024-08-121.06691.2457
2024-08-091.07281.2516
2024-08-081.08361.2624
2024-08-071.09771.2765
2024-08-061.08341.2622
2024-08-051.07101.2498
2024-08-021.09971.2785
2024-08-011.11791.2967
2024-07-311.12421.3030
2024-07-301.08821.2670
2024-07-291.09121.2700
2024-07-261.09971.2785
2024-07-251.07711.2559
2024-07-241.07421.2530
2024-07-231.08411.2629
2024-07-221.11921.2980
2024-07-191.11191.2907
2024-07-181.10931.2881
2024-07-171.10461.2834
2024-07-161.11741.2962
2024-07-151.12281.3016
2024-07-121.13141.3102
2024-07-111.13271.3115
2024-07-101.11911.2979
2024-07-091.11291.2917
2024-07-081.08601.2648
2024-07-051.09941.2782
2024-07-041.09761.2764
2024-07-031.10841.2872
2024-07-021.12161.3004
2024-07-011.14401.3228
2024-06-281.14451.3233
2024-06-271.13161.3104
2024-06-261.15051.3293
2024-06-251.14071.3195
2024-06-241.15281.3316