天弘国证2000指数增强A
(017547.jj)国证2000 (半年) 天弘基金管理有限公司
成立日期2023-03-23
总资产规模
6,174.66万 (2024-06-30)
基金类型指数型基金当前净值0.7189基金经理杨超张戈管理费用率0.60%管托费用率0.10%持仓换手率687.02% (2024-06-30) 成立以来分红再投入年化收益率-20.53%
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天弘国证2000指数增强A(017547) - 历史基金累计净值数据曲线

最后更新于:2024-08-30

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天弘国证2000指数增强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
2024-08-300.71890.7189
2024-08-290.70660.7066
2024-08-280.69420.6942
2024-08-270.69150.6915
2024-08-260.70170.7017
2024-08-230.69680.6968
2024-08-220.69770.6977
2024-08-210.70630.7063
2024-08-200.70880.7088
2024-08-190.72260.7226
2024-08-160.72340.7234
2024-08-150.72440.7244
2024-08-140.71770.7177
2024-08-130.72360.7236
2024-08-120.72010.7201
2024-08-090.72460.7246
2024-08-080.73020.7302
2024-08-070.73200.7320
2024-08-060.73200.7320
2024-08-050.71810.7181
2024-08-020.73720.7372
2024-08-010.74760.7476
2024-07-310.74810.7481
2024-07-300.72130.7213
2024-07-290.71910.7191
2024-07-260.72280.7228
2024-07-250.71160.7116
2024-07-240.70870.7087
2024-07-230.72050.7205
2024-07-220.73860.7386
2024-07-190.73880.7388
2024-07-180.73690.7369
2024-07-170.73830.7383
2024-07-160.74750.7475
2024-07-150.74850.7485
2024-07-120.75940.7594
2024-07-110.76110.7611
2024-07-100.74090.7409
2024-07-090.74340.7434
2024-07-080.72670.7267
2024-07-050.74490.7449
2024-07-040.73620.7362
2024-07-030.75320.7532
2024-07-020.76080.7608
2024-07-010.76530.7653
2024-06-280.75840.7584
2024-06-270.75260.7526
2024-06-260.76810.7681
2024-06-250.74520.7452
2024-06-240.74790.7479