创金合信医药消费股票A
(010585.jj)创金合信基金管理有限公司持有人户数1.34万
成立日期2020-12-03
总资产规模
2.10亿 (2024-09-30)
基金类型股票型当前净值0.4871基金经理胡尧盛刘迪管理费用率1.20%管托费用率0.20%持仓换手率126.88% (2024-06-30) 成立以来分红再投入年化收益率-16.22%
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创金合信医药消费股票A(010585) - 历史基金净值数据曲线

最后更新于:2024-12-26

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创金合信医药消费股票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
2024-12-260.48710.4871
2024-12-250.48870.4887
2024-12-240.49380.4938
2024-12-230.48840.4884
2024-12-200.49470.4947
2024-12-190.49440.4944
2024-12-180.49760.4976
2024-12-170.49880.4988
2024-12-160.50410.5041
2024-12-130.51160.5116
2024-12-120.52020.5202
2024-12-110.51330.5133
2024-12-100.51150.5115
2024-12-090.51070.5107
2024-12-060.51520.5152
2024-12-050.50940.5094
2024-12-040.51110.5111
2024-12-030.51960.5196
2024-12-020.52060.5206
2024-11-290.51670.5167
2024-11-280.50840.5084
2024-11-270.51420.5142
2024-11-260.49960.4996
2024-11-250.49690.4969
2024-11-220.49360.4936
2024-11-210.51620.5162
2024-11-200.51750.5175
2024-11-190.50050.5005
2024-11-180.49750.4975
2024-11-150.51080.5108
2024-11-140.51910.5191
2024-11-130.53210.5321
2024-11-120.53780.5378
2024-11-110.53610.5361
2024-11-080.53060.5306
2024-11-070.53550.5355
2024-11-060.52040.5204
2024-11-050.52550.5255
2024-11-040.51560.5156
2024-11-010.51060.5106
2024-10-310.50740.5074
2024-10-300.51350.5135
2024-10-290.51610.5161
2024-10-280.52990.5299
2024-10-250.52350.5235
2024-10-240.51460.5146
2024-10-230.51970.5197
2024-10-220.52120.5212
2024-10-210.52500.5250
2024-10-180.52540.5254