中金鑫瑞优选一年持有期
(011703.jj)中金基金管理有限公司持有人户数1,627.00
成立日期2021-07-13
总资产规模
9,202.91万 (2024-09-30)
基金类型混合型当前净值0.7641基金经理丁杨管理费用率1.20%管托费用率0.20%持仓换手率345.31% (2024-06-30) 成立以来分红再投入年化收益率-7.49%
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中金鑫瑞优选一年持有期(011703) - 历史基金净值数据曲线

最后更新于:2024-12-27

数据选项
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中金鑫瑞优选一年持有期历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-270.76410.7641
2024-12-260.76690.7669
2024-12-250.75800.7580
2024-12-240.76270.7627
2024-12-230.75190.7519
2024-12-200.76380.7638
2024-12-190.75380.7538
2024-12-180.74660.7466
2024-12-170.74310.7431
2024-12-160.75240.7524
2024-12-130.76140.7614
2024-12-120.77160.7716
2024-12-110.76320.7632
2024-12-100.75570.7557
2024-12-090.74990.7499
2024-12-060.75000.7500
2024-12-050.74520.7452
2024-12-040.74440.7444
2024-12-030.75300.7530
2024-12-020.75450.7545
2024-11-290.74320.7432
2024-11-280.73050.7305
2024-11-270.73580.7358
2024-11-260.72540.7254
2024-11-250.72680.7268
2024-11-220.72350.7235
2024-11-210.74830.7483
2024-11-200.74630.7463
2024-11-190.74230.7423
2024-11-180.72540.7254
2024-11-150.73600.7360
2024-11-140.75170.7517
2024-11-130.76920.7692
2024-11-120.76950.7695
2024-11-110.77670.7767
2024-11-080.76240.7624
2024-11-070.76100.7610
2024-11-060.75050.7505
2024-11-050.75610.7561
2024-11-040.74340.7434
2024-11-010.72840.7284
2024-10-310.73270.7327
2024-10-300.73150.7315
2024-10-290.73470.7347
2024-10-280.73740.7374
2024-10-250.73420.7342
2024-10-240.73150.7315
2024-10-230.73940.7394
2024-10-220.73800.7380
2024-10-210.73400.7340