建信灵活配置混合A
(000270.jj ) 建信基金管理有限责任公司
基金类型混合型成立日期2013-09-03总资产规模2.49亿 (2025-12-31) 基金净值1.9725 (2026-02-10) 基金经理叶乐天郭志腾管理费用率1.00%管托费用率0.20% (2025-06-30) 持仓换手率421.94% (2025-06-30) 成立以来分红再投入年化收益率9.27% (2929 / 9089)
备注 (2): 双击编辑备注
发表讨论

建信灵活配置混合A(000270) - 历史基金净值数据曲线

最后更新于:2026-02-10

数据选项
加载中......
建信灵活配置混合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
2026-02-101.97253.0129
2026-02-091.96993.0089
2026-02-061.94632.9729
2026-02-051.93152.9503
2026-02-041.93022.9483
2026-02-031.92262.9367
2026-02-021.89412.8931
2026-01-301.91872.9307
2026-01-291.89412.8931
2026-01-281.90612.9115
2026-01-271.92682.9431
2026-01-261.92682.9431
2026-01-231.93422.9544
2026-01-221.92072.9338
2026-01-211.90682.9125
2026-01-201.88912.8855
2026-01-191.88482.8789
2026-01-161.85542.8340
2026-01-151.85542.8340
2026-01-141.85022.8261
2026-01-131.83862.8084
2026-01-121.83902.8090
2026-01-091.81782.7766
2026-01-081.80562.7580
2026-01-071.77842.7164
2026-01-061.77862.7167
2026-01-051.77782.7155
2025-12-311.74952.6723
2025-12-301.74212.6610
2025-12-291.75072.6741
2025-12-261.74632.6674
2025-12-251.76082.6895
2025-12-241.73832.6552
2025-12-231.71912.6258
2025-12-221.72472.6344
2025-12-191.72462.6342
2025-12-181.69702.5921
2025-12-171.67252.5547
2025-12-161.66802.5478
2025-12-151.69612.5907
2025-12-121.68942.5805
2025-12-111.69862.5945
2025-12-101.73352.6478
2025-12-091.74932.6720
2025-12-081.76102.6898
2025-12-051.74712.6686
2025-12-041.71712.6228
2025-12-031.74052.6585
2025-12-021.75242.6767
2025-12-011.75812.6854