大成锐见未来混合A
(018890.jj)大成基金管理有限公司持有人户数306.00
成立日期2023-09-21
总资产规模
2,948.45万 (2024-09-30)
基金类型混合型当前净值0.9020基金经理邹建管理费用率1.20%管托费用率0.20%持仓换手率349.13% (2024-06-30) 成立以来分红再投入年化收益率-7.82%
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大成锐见未来混合A(018890) - 历史基金累计净值数据曲线

最后更新于:2024-12-27

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大成锐见未来混合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
2024-12-270.90200.9020
2024-12-260.90040.9004
2024-12-250.90230.9023
2024-12-240.90640.9064
2024-12-230.89820.8982
2024-12-200.90530.9053
2024-12-190.90500.9050
2024-12-180.90570.9057
2024-12-170.90580.9058
2024-12-160.91530.9153
2024-12-130.91910.9191
2024-12-120.93490.9349
2024-12-110.92680.9268
2024-12-100.92110.9211
2024-12-090.92490.9249
2024-12-060.92290.9229
2024-12-050.91650.9165
2024-12-040.91580.9158
2024-12-030.92420.9242
2024-12-020.92750.9275
2024-11-290.92060.9206
2024-11-280.91510.9151
2024-11-270.91490.9149
2024-11-260.90180.9018
2024-11-250.90320.9032
2024-11-220.89670.8967
2024-11-210.92320.9232
2024-11-200.92810.9281
2024-11-190.91950.9195
2024-11-180.90820.9082
2024-11-150.91830.9183
2024-11-140.92940.9294
2024-11-130.94240.9424
2024-11-120.94460.9446
2024-11-110.93970.9397
2024-11-080.93340.9334
2024-11-070.93800.9380
2024-11-060.91990.9199
2024-11-050.92080.9208
2024-11-040.91390.9139
2024-11-010.90510.9051
2024-10-310.90640.9064
2024-10-300.91190.9119
2024-10-290.92800.9280
2024-10-280.94550.9455
2024-10-250.93780.9378
2024-10-240.93280.9328
2024-10-230.93770.9377
2024-10-220.93850.9385
2024-10-210.92870.9287