中信建投睿信A
(000926.jj ) 中信建投基金管理有限公司
基金类型混合型成立日期2015-02-03总资产规模3,119.97万 (2025-09-30) 基金净值0.7695 (2025-12-30) 基金经理杨志武艾翀管理费用率0.80%管托费用率0.20% (2025-06-30) 持仓换手率712.03% (2025-06-30) 成立以来分红再投入年化收益率-2.37% (7817 / 8952)
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中信建投睿信A(000926) - 历史基金净值数据曲线

最后更新于:2025-12-30

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中信建投睿信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
2025-12-300.76950.7695
2025-12-290.76850.7685
2025-12-260.77400.7740
2025-12-250.77350.7735
2025-12-240.77020.7702
2025-12-230.76730.7673
2025-12-220.76630.7663
2025-12-190.76320.7632
2025-12-180.75750.7575
2025-12-170.75540.7554
2025-12-160.74590.7459
2025-12-150.75360.7536
2025-12-120.74940.7494
2025-12-110.74610.7461
2025-12-100.75100.7510
2025-12-090.74940.7494
2025-12-080.75730.7573
2025-12-050.75700.7570
2025-12-040.75010.7501
2025-12-030.75280.7528
2025-12-020.75410.7541
2025-12-010.75420.7542
2025-11-280.74980.7498
2025-11-270.74440.7444
2025-11-260.74370.7437
2025-11-250.74720.7472
2025-11-240.74050.7405
2025-11-210.73920.7392
2025-11-200.76150.7615
2025-11-190.76470.7647
2025-11-180.76880.7688
2025-11-170.77720.7772
2025-11-140.78300.7830
2025-11-130.78730.7873
2025-11-120.78290.7829
2025-11-110.78350.7835
2025-11-100.78190.7819
2025-11-070.77690.7769
2025-11-060.77290.7729
2025-11-050.76480.7648
2025-11-040.76050.7605
2025-11-030.76480.7648
2025-10-310.76230.7623
2025-10-300.76370.7637
2025-10-290.76710.7671
2025-10-280.76010.7601
2025-10-270.76210.7621
2025-10-240.75590.7559
2025-10-230.75820.7582
2025-10-220.75340.7534