万家量化同顺A
(005650.jj ) 万家基金管理有限公司
基金类型混合型成立日期2018-05-04总资产规模2,961.78万 (2025-03-31) 基金净值1.2847 (2025-04-30) 基金经理尹航管理费用率1.20%管托费用率0.20% (2025-02-15) 持仓换手率26.85倍 (2024-12-31) 成立以来分红再投入年化收益率3.65%
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万家量化同顺A(005650) - 历史基金净值数据曲线

最后更新于:2025-04-30

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万家量化同顺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
2025-04-301.28471.2847
2025-04-291.28641.2864
2025-04-281.28311.2831
2025-04-251.29611.2961
2025-04-241.29131.2913
2025-04-231.28901.2890
2025-04-221.28821.2882
2025-04-211.27661.2766
2025-04-181.26981.2698
2025-04-171.26611.2661
2025-04-161.25901.2590
2025-04-151.26691.2669
2025-04-141.26171.2617
2025-04-111.25101.2510
2025-04-101.25551.2555
2025-04-091.23931.2393
2025-04-081.22661.2266
2025-04-071.20941.2094
2025-04-031.32461.3246
2025-04-021.32181.3218
2025-04-011.31861.3186
2025-03-311.30081.3008
2025-03-281.31281.3128
2025-03-271.32201.3220
2025-03-261.32451.3245
2025-03-251.32121.3212
2025-03-241.31151.3115
2025-03-211.31531.3153
2025-03-201.32081.3208
2025-03-191.32041.3204
2025-03-181.32001.3200
2025-03-171.31451.3145
2025-03-141.31001.3100
2025-03-131.29271.2927
2025-03-121.29081.2908
2025-03-111.28841.2884
2025-03-101.28411.2841
2025-03-071.28111.2811
2025-03-061.28441.2844
2025-03-051.27571.2757
2025-03-041.28031.2803
2025-03-031.27291.2729
2025-02-281.26841.2684
2025-02-271.28441.2844
2025-02-261.28231.2823
2025-02-251.26801.2680
2025-02-241.27961.2796
2025-02-211.27191.2719
2025-02-201.27371.2737
2025-02-191.27171.2717