博时创业板指数A
(010785.jj)创业板指博时基金管理有限公司
成立日期2021-04-02
总资产规模
2,193.48万 (2024-06-30)
基金类型指数型基金当前净值0.5879基金经理李庆阳管理费用率0.50%管托费用率0.15%持仓换手率47.53% (2023-12-31) 成立以来分红再投入年化收益率-14.75%
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博时创业板指数A(010785) - 历史基金净值数据曲线

最后更新于:2024-07-31

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博时创业板指数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
2024-07-310.58790.5879
2024-07-300.56910.5691
2024-07-290.57060.5706
2024-07-260.57840.5784
2024-07-250.57340.5734
2024-07-240.57560.5756
2024-07-230.58230.5823
2024-07-220.60010.6001
2024-07-190.60070.6007
2024-07-180.59810.5981
2024-07-170.59110.5911
2024-07-160.59120.5912
2024-07-150.58350.5835
2024-07-120.58700.5870
2024-07-110.58740.5874
2024-07-100.57620.5762
2024-07-090.57650.5765
2024-07-080.56880.5688
2024-07-050.57770.5777
2024-07-040.57490.5749
2024-07-030.57910.5791
2024-07-020.58070.5807
2024-07-010.58640.5864
2024-06-280.58660.5866
2024-06-270.59310.5931
2024-06-260.60210.6021
2024-06-250.59190.5919
2024-06-240.60230.6023
2024-06-210.61040.6104
2024-06-200.61260.6126
2024-06-190.62110.6211
2024-06-180.62850.6285
2024-06-170.62690.6269
2024-06-140.62210.6221
2024-06-130.61770.6177
2024-06-120.61760.6176
2024-06-110.62020.6202
2024-06-070.61830.6183
2024-06-060.63120.6312
2024-06-050.63520.6352
2024-06-040.63850.6385
2024-06-030.63050.6305
2024-05-310.62590.6259
2024-05-300.62830.6283
2024-05-290.62740.6274
2024-05-280.62570.6257
2024-05-270.63330.6333
2024-05-240.62920.6292
2024-05-230.64020.6402
2024-05-220.64860.6486