嘉实优化红利混合A
(070032.jj)嘉实基金管理有限公司持有人户数20.63万
成立日期2012-06-26
总资产规模
17.41亿 (2024-09-30)
基金类型混合型当前净值1.4580基金经理常蓁管理费用率1.20%管托费用率0.20%持仓换手率35.04% (2023-12-31) 成立以来分红再投入年化收益率12.70%
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嘉实优化红利混合A(070032) - 历史基金净值数据曲线

最后更新于:2024-11-08

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嘉实优化红利混合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
2024-11-081.45803.3440
2024-11-071.47603.3620
2024-11-061.43503.3210
2024-11-051.43003.3160
2024-11-041.41203.2980
2024-11-011.40003.2860
2024-10-311.39403.2800
2024-10-301.39403.2800
2024-10-291.40703.2930
2024-10-281.42803.3140
2024-10-251.41903.3050
2024-10-241.40903.2950
2024-10-231.41703.3030
2024-10-221.40803.2940
2024-10-211.39803.2840
2024-10-181.39003.2760
2024-10-171.34903.2350
2024-10-161.37903.2650
2024-10-151.38403.2700
2024-10-141.42203.3080
2024-10-111.40603.2920
2024-10-101.43903.3250
2024-10-091.42203.3080
2024-10-081.52603.4120
2024-09-301.47203.3580
2024-09-271.37003.2560
2024-09-261.30003.1860
2024-09-251.24103.1270
2024-09-241.23203.1180
2024-09-231.19203.0780
2024-09-201.18503.0710
2024-09-191.18403.0700
2024-09-181.17003.0560
2024-09-131.16103.0470
2024-09-121.17403.0600
2024-09-111.19003.0760
2024-09-101.18303.0690
2024-09-091.18903.0750
2024-09-061.20203.0880
2024-09-051.21203.0980
2024-09-041.20603.0920
2024-09-031.20803.0940
2024-09-021.19503.0810
2024-08-301.21903.1050
2024-08-291.19703.0830
2024-08-281.18703.0730
2024-08-271.19603.0820
2024-08-261.20303.0890
2024-08-231.20903.0950
2024-08-221.20503.0910