印度基金LOF
(164824.sz ) 工银瑞信基金管理有限公司
基金类型QDII(LOF)成立日期2018-06-15总资产规模26.45亿 (2025-03-31) 基金场内规模20.34亿 (2025-07-17) 基金净值1.5424 (2025-07-17) 收盘价格1.5280 (2025-07-18) 收盘价涨跌幅-0.71%成交金额7,777.00万基金经理刘伟琳刘子豪管理费用率1.20%管托费用率0.20% (2025-06-11) 成立以来分红再投入年化收益率6.30% (310 / 557)
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印度基金LOF(164824) - 历史基金收盘价数据曲线

最后更新于:2025-07-18

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印度基金LOF历史净值,最多展示50条数据。
日期基金收盘价基金净值基金累计净值
2025-07-181.5280----
2025-07-171.53901.54241.5424
2025-07-161.53401.54751.5475
2025-07-151.53401.54131.5413
2025-07-141.52201.53941.5394
2025-07-111.52501.53821.5382
2025-07-101.53701.54951.5495
2025-07-091.54601.55851.5585
2025-07-081.54201.55981.5598
2025-07-071.54301.55451.5545
2025-07-041.54101.56261.5626
2025-07-031.54601.56491.5649
2025-07-021.54501.55981.5598
2025-07-011.54501.56391.5639
2025-06-301.54901.56041.5604
2025-06-271.55301.56781.5678
2025-06-261.53501.55881.5588
2025-06-251.52701.54491.5449
2025-06-241.52701.53861.5386
2025-06-231.50401.52341.5234
2025-06-201.51101.51821.5182
2025-06-191.49801.51021.5102
2025-06-181.50701.51601.5160
2025-06-171.51701.52091.5209
2025-06-161.52201.53701.5370
2025-06-131.51301.52561.5256
2025-06-121.53701.54361.5436
2025-06-111.54401.56101.5610
2025-06-101.53701.55901.5590
2025-06-091.53201.55681.5568
2025-06-061.52701.54981.5498
2025-06-051.51701.53111.5311
2025-06-041.50801.52341.5234
2025-06-031.51201.52631.5263
2025-05-301.51801.53231.5323
2025-05-291.52401.53771.5377
2025-05-281.51901.53321.5332
2025-05-271.52201.53971.5397
2025-05-261.52701.53921.5392
2025-05-231.51601.53711.5371
2025-05-221.50201.51801.5180
2025-05-211.51701.52771.5277
2025-05-201.52201.52891.5289
2025-05-191.52501.54571.5457
2025-05-161.52601.54291.5429
2025-05-151.50401.54391.5439
2025-05-141.50801.52461.5246
2025-05-131.50401.52671.5267
2025-05-121.51701.53531.5353
2025-05-091.47001.47891.4789