万家瑞丰A
(001488.jj ) 万家基金管理有限公司
基金类型混合型成立日期2015-06-19总资产规模2.47亿 (2025-09-30) 基金净值1.7359 (2025-12-16) 基金经理张永强管理费用率0.60%管托费用率0.15% (2025-10-21) 持仓换手率101.26% (2025-06-30) 成立以来分红再投入年化收益率5.40% (3816 / 8947)
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万家瑞丰A(001488) - 历史基金累计净值数据曲线

最后更新于:2025-12-16

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万家瑞丰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
2025-12-161.73591.7359
2025-12-151.75911.7591
2025-12-121.77131.7713
2025-12-111.75781.7578
2025-12-101.77051.7705
2025-12-091.76881.7688
2025-12-081.77801.7780
2025-12-051.76381.7638
2025-12-041.74501.7450
2025-12-031.73851.7385
2025-12-021.74701.7470
2025-12-011.75741.7574
2025-11-281.73811.7381
2025-11-271.73081.7308
2025-11-261.73271.7327
2025-11-251.72321.7232
2025-11-241.70541.7054
2025-11-211.70261.7026
2025-11-201.74731.7473
2025-11-191.75851.7585
2025-11-181.75401.7540
2025-11-171.76571.7657
2025-11-141.77351.7735
2025-11-131.80101.8010
2025-11-121.77731.7773
2025-11-111.78121.7812
2025-11-101.79551.7955
2025-11-071.79151.7915
2025-11-061.79531.7953
2025-11-051.76911.7691
2025-11-041.76551.7655
2025-11-031.78331.7833
2025-10-311.78051.7805
2025-10-301.80161.8016
2025-10-291.81681.8168
2025-10-281.79381.7938
2025-10-271.79871.7987
2025-10-241.77701.7770
2025-10-231.75201.7520
2025-10-221.74751.7475
2025-10-211.75351.7535
2025-10-201.72661.7266
2025-10-171.71621.7162
2025-10-161.75701.7570
2025-10-151.75741.7574
2025-10-141.73191.7319
2025-10-131.76201.7620
2025-10-101.77051.7705
2025-10-091.80971.8097
2025-09-301.78381.7838