前海开源聚利一年持有混合A
(013270.jj)前海开源基金管理有限公司持有人户数9,317.00
成立日期2021-10-26
总资产规模
4.33亿 (2024-09-30)
基金类型混合型当前净值0.7062基金经理曲扬管理费用率1.20%管托费用率0.20%持仓换手率196.16% (2024-06-30) 成立以来分红再投入年化收益率-10.43%
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前海开源聚利一年持有混合A(013270) - 历史基金净值数据曲线

最后更新于:2024-12-23

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前海开源聚利一年持有混合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
2024-12-230.70620.7062
2024-12-200.70530.7053
2024-12-190.70230.7023
2024-12-180.70190.7019
2024-12-170.70040.7004
2024-12-160.69960.6996
2024-12-130.70200.7020
2024-12-120.71510.7151
2024-12-110.70320.7032
2024-12-100.69990.6999
2024-12-090.70110.7011
2024-12-060.69480.6948
2024-12-050.68790.6879
2024-12-040.69200.6920
2024-12-030.69070.6907
2024-12-020.68580.6858
2024-11-290.68320.6832
2024-11-280.68160.6816
2024-11-270.69340.6934
2024-11-260.69030.6903
2024-11-250.68670.6867
2024-11-220.68410.6841
2024-11-210.69380.6938
2024-11-200.68700.6870
2024-11-190.68530.6853
2024-11-180.68350.6835
2024-11-150.68430.6843
2024-11-140.69050.6905
2024-11-130.70330.7033
2024-11-120.69960.6996
2024-11-110.70700.7070
2024-11-080.71180.7118
2024-11-070.71470.7147
2024-11-060.70300.7030
2024-11-050.70970.7097
2024-11-040.70170.7017
2024-11-010.69930.6993
2024-10-310.69700.6970
2024-10-300.70130.7013
2024-10-290.70640.7064
2024-10-280.71260.7126
2024-10-250.71440.7144
2024-10-240.71700.7170
2024-10-230.72270.7227
2024-10-220.72680.7268
2024-10-210.72320.7232
2024-10-180.72380.7238
2024-10-170.70300.7030
2024-10-160.70920.7092
2024-10-150.70900.7090