光大保德信中国制造混合A
(001740.jj ) 光大保德信基金管理有限公司
基金经理崔书田基金类型混合型成立日期2015-12-23总资产规模5.30亿 (2026-03-31) 基金净值3.1310 (2026-05-22) 管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率331.35% (2025-06-30) 成立以来分红再投入年化收益率12.71% (2092 / 9180)
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光大保德信中国制造混合A(001740) - 历史基金累计净值数据曲线

最后更新于:2026-05-22

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光大保德信中国制造混合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
2026-05-223.13103.2780
2026-05-213.04703.1940
2026-05-203.11903.2660
2026-05-193.06703.2140
2026-05-183.02703.1740
2026-05-153.02603.1730
2026-05-143.01103.1580
2026-05-133.09303.2400
2026-05-123.00703.1540
2026-05-113.02603.1730
2026-05-082.95603.1030
2026-05-072.98903.1360
2026-05-062.93703.0840
2026-04-302.82002.9670
2026-04-292.76702.9140
2026-04-282.73202.8790
2026-04-272.77602.9230
2026-04-242.73502.8820
2026-04-232.71602.8630
2026-04-222.74802.8950
2026-04-212.69002.8370
2026-04-202.67102.8180
2026-04-172.65702.8040
2026-04-162.63302.7800
2026-04-152.58602.7330
2026-04-142.60202.7490
2026-04-132.56802.7150
2026-04-102.55902.7060
2026-04-092.50402.6510
2026-04-082.50402.6510
2026-04-072.38802.5350
2026-04-032.37102.5180
2026-04-022.37302.5200
2026-04-012.42602.5730
2026-03-312.37602.5230
2026-03-302.42202.5690
2026-03-272.43302.5800
2026-03-262.40602.5530
2026-03-252.41902.5660
2026-03-242.37902.5260
2026-03-232.34102.4880
2026-03-202.42302.5700
2026-03-192.43202.5790
2026-03-182.49402.6410
2026-03-172.47002.6170
2026-03-162.53102.6780
2026-03-132.53902.6860
2026-03-122.56202.7090
2026-03-112.58502.7320
2026-03-102.59202.7390