国联安鑫安灵活配置混合
(001007.jj ) 国联安基金管理有限公司
基金经理呼荣权基金类型混合型成立日期2015-01-26总资产规模2,807.90万 (2026-06-30) 基金净值0.7450 (2026-09-15) 管理费用率1.20%管托费用率0.20% (2026-06-30) 持仓换手率353.51% (2026-06-30) 成立以来分红再投入年化收益率5.33% (3981 / 9452)
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国联安鑫安灵活配置混合(001007) - 历史基金累计净值数据曲线

最后更新于:2026-09-15

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国联安鑫安灵活配置混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-09-150.74501.8570
2026-09-140.74941.8614
2026-09-110.74721.8592
2026-09-100.75961.8716
2026-09-090.77361.8856
2026-09-080.78351.8955
2026-09-070.78161.8936
2026-09-040.77901.8910
2026-09-030.76761.8796
2026-09-020.76861.8806
2026-09-010.76951.8815
2026-08-310.76521.8772
2026-08-280.76921.8812
2026-08-270.76351.8755
2026-08-260.76161.8736
2026-08-250.76111.8731
2026-08-240.75301.8650
2026-08-210.75821.8702
2026-08-200.76691.8789
2026-08-190.76071.8727
2026-08-180.77541.8874
2026-08-170.77091.8829
2026-08-140.76701.8790
2026-08-130.77121.8832
2026-08-120.77601.8880
2026-08-110.77041.8824
2026-08-100.78081.8928
2026-08-070.76111.8731
2026-08-060.76101.8730
2026-08-050.77091.8829
2026-08-040.76811.8801
2026-08-030.77741.8894
2026-07-310.78491.8969
2026-07-300.78191.8939
2026-07-290.77271.8847
2026-07-280.74521.8572
2026-07-270.73121.8432
2026-07-240.70821.8202
2026-07-230.73001.8420
2026-07-220.72661.8386
2026-07-210.72071.8327
2026-07-200.72661.8386
2026-07-170.72001.8320
2026-07-160.73961.8516
2026-07-150.72831.8403
2026-07-140.70511.8171
2026-07-130.70531.8173
2026-07-100.71241.8244
2026-07-090.69871.8107
2026-07-080.71581.8278