万家欣远混合A
(016163.jj ) 万家基金管理有限公司
基金类型混合型成立日期2022-09-28总资产规模3,127.73万 (2025-03-31) 基金净值0.7805 (2025-05-08) 基金经理高源管理费用率1.20%管托费用率0.20% (2024-12-31) 持仓换手率144.82% (2024-12-31) 成立以来分红再投入年化收益率-9.05%
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万家欣远混合A(016163) - 历史基金净值数据曲线

最后更新于:2025-05-08

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万家欣远混合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
2025-05-080.78050.7805
2025-05-070.77610.7761
2025-05-060.77220.7722
2025-04-300.76440.7644
2025-04-290.76600.7660
2025-04-280.76890.7689
2025-04-250.77430.7743
2025-04-240.77230.7723
2025-04-230.77200.7720
2025-04-220.77260.7726
2025-04-210.77270.7727
2025-04-180.77350.7735
2025-04-170.77200.7720
2025-04-160.77060.7706
2025-04-150.77100.7710
2025-04-140.77080.7708
2025-04-110.76960.7696
2025-04-100.77350.7735
2025-04-090.76370.7637
2025-04-080.75990.7599
2025-04-070.75280.7528
2025-04-030.80830.8083
2025-04-020.81120.8112
2025-04-010.81070.8107
2025-03-310.80940.8094
2025-03-280.81560.8156
2025-03-270.82080.8208
2025-03-260.81890.8189
2025-03-250.82080.8208
2025-03-240.82560.8256
2025-03-210.82170.8217
2025-03-200.83090.8309
2025-03-190.84140.8414
2025-03-180.84380.8438
2025-03-170.84220.8422
2025-03-140.84570.8457
2025-03-130.82150.8215
2025-03-120.82420.8242
2025-03-110.82890.8289
2025-03-100.82510.8251
2025-03-070.82830.8283
2025-03-060.82900.8290
2025-03-050.81610.8161
2025-03-040.81880.8188
2025-03-030.81960.8196
2025-02-280.81760.8176
2025-02-270.83150.8315
2025-02-260.82970.8297
2025-02-250.81780.8178
2025-02-240.82830.8283