博时黄金ETF场外I类
(000930.jj )
基金经理赵云阳王祥基金类型指数型基金(ETF)成立日期2014-12-19总资产规模5.07亿 (2026-06-30) 基金净值9.1517 (2026-09-04) 管理费用率0.50%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率12.11% (38 / 58)
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博时黄金ETF场外I类(000930) - 历史基金净值数据曲线

最后更新于:2026-09-04

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博时黄金ETF场外I类历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-09-049.15173.8070
2026-09-039.07183.7739
2026-09-028.88273.6953
2026-09-019.07623.7757
2026-08-319.11513.7918
2026-08-289.42843.9220
2026-08-279.40253.9112
2026-08-269.48213.9443
2026-08-259.47593.9417
2026-08-249.51583.9583
2026-08-219.32083.8773
2026-08-209.17503.8167
2026-08-198.95813.7266
2026-08-189.05243.7658
2026-08-179.02683.7552
2026-08-148.91623.7092
2026-08-138.99723.7429
2026-08-129.05893.7685
2026-08-118.97343.7330
2026-08-108.95433.7250
2026-08-078.82033.6694
2026-08-068.77433.6503
2026-08-058.57853.5689
2026-08-048.38263.4876
2026-08-038.37153.4829
2026-07-318.38983.4905
2026-07-308.34993.4740
2026-07-298.36223.4791
2026-07-288.37473.4843
2026-07-278.47603.5264
2026-07-248.37893.4860
2026-07-238.49273.5333
2026-07-228.52443.5465
2026-07-218.41053.4991
2026-07-208.27863.4444
2026-07-178.27423.4425
2026-07-168.32013.4616
2026-07-158.32663.4643
2026-07-148.34483.4719
2026-07-138.40703.4977
2026-07-108.50963.5403
2026-07-098.52433.5464
2026-07-088.54613.5555
2026-07-078.56043.5614
2026-07-068.60983.5819
2026-07-038.64063.5947
2026-07-028.41383.5005
2026-07-018.24163.4290
2026-06-308.33873.4693
2026-06-298.41183.4997