永赢惠泽一年
(006836.jj)永赢基金管理有限公司持有人户数5,199.00
成立日期2019-06-05
总资产规模
1.50亿 (2024-09-30)
基金类型混合型当前净值1.5076基金经理李永兴牟琼屿王乾管理费用率1.20%管托费用率0.20%持仓换手率106.96% (2024-06-30) 成立以来分红再投入年化收益率7.69%
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永赢惠泽一年(006836) - 历史基金净值数据曲线

最后更新于:2024-12-20

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永赢惠泽一年历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.50761.5076
2024-12-191.51281.5128
2024-12-181.51531.5153
2024-12-171.51561.5156
2024-12-161.51861.5186
2024-12-131.53391.5339
2024-12-121.55381.5538
2024-12-111.53181.5318
2024-12-101.51931.5193
2024-12-091.49891.4989
2024-12-061.50411.5041
2024-12-051.49151.4915
2024-12-041.49301.4930
2024-12-031.50561.5056
2024-12-021.49741.4974
2024-11-291.48091.4809
2024-11-281.46601.4660
2024-11-271.47641.4764
2024-11-261.45681.4568
2024-11-251.45751.4575
2024-11-221.45081.4508
2024-11-211.49801.4980
2024-11-201.49791.4979
2024-11-191.49271.4927
2024-11-181.48581.4858
2024-11-151.49341.4934
2024-11-141.50531.5053
2024-11-131.53551.5355
2024-11-121.53581.5358
2024-11-111.54171.5417
2024-11-081.54801.5480
2024-11-071.56161.5616
2024-11-061.50731.5073
2024-11-051.50861.5086
2024-11-041.48141.4814
2024-11-011.46411.4641
2024-10-311.46651.4665
2024-10-301.46881.4688
2024-10-291.46831.4683
2024-10-281.49981.4998
2024-10-251.47561.4756
2024-10-241.46251.4625
2024-10-231.47761.4776
2024-10-221.46781.4678
2024-10-211.45241.4524
2024-10-181.43821.4382
2024-10-171.40621.4062
2024-10-161.42691.4269
2024-10-151.42521.4252
2024-10-141.46061.4606