富安达产业优选混合A
(017048.jj)富安达基金管理有限公司持有人户数162.00
成立日期2023-03-01
总资产规模
1,657.63万 (2024-09-30)
基金类型混合型当前净值0.5991基金经理杨红管理费用率1.20%管托费用率0.20%持仓换手率891.01% (2024-06-30) 成立以来分红再投入年化收益率-24.48%
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富安达产业优选混合A(017048) - 历史基金净值数据曲线

最后更新于:2024-12-26

数据选项
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富安达产业优选混合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
2024-12-260.59910.5991
2024-12-250.58430.5843
2024-12-240.59090.5909
2024-12-230.58390.5839
2024-12-200.59620.5962
2024-12-190.58530.5853
2024-12-180.58240.5824
2024-12-170.58150.5815
2024-12-160.58750.5875
2024-12-130.59850.5985
2024-12-120.61040.6104
2024-12-110.60840.6084
2024-12-100.61180.6118
2024-12-090.60400.6040
2024-12-060.60760.6076
2024-12-050.60220.6022
2024-12-040.59610.5961
2024-12-030.60590.6059
2024-12-020.61130.6113
2024-11-290.60470.6047
2024-11-280.59450.5945
2024-11-270.59960.5996
2024-11-260.58680.5868
2024-11-250.59520.5952
2024-11-220.59790.5979
2024-11-210.62140.6214
2024-11-200.62540.6254
2024-11-190.62130.6213
2024-11-180.60230.6023
2024-11-150.61890.6189
2024-11-140.63730.6373
2024-11-130.65560.6556
2024-11-120.64800.6480
2024-11-110.66300.6630
2024-11-080.64580.6458
2024-11-070.64040.6404
2024-11-060.63460.6346
2024-11-050.63860.6386
2024-11-040.62030.6203
2024-11-010.60660.6066
2024-10-310.62490.6249
2024-10-300.62290.6229
2024-10-290.62510.6251
2024-10-280.63710.6371
2024-10-250.64380.6438
2024-10-240.63570.6357
2024-10-230.63550.6355
2024-10-220.64670.6467
2024-10-210.64230.6423
2024-10-180.63360.6336