诺安优选回报混合A
(001743.jj ) 诺安基金管理有限公司
基金类型混合型成立日期2016-09-22总资产规模7.34亿 (2025-12-31) 基金净值2.7470 (2026-02-09) 基金经理杨谷管理费用率1.20%管托费用率0.10% (2025-08-27) 持仓换手率160.74% (2025-06-30) 成立以来分红再投入年化收益率14.01% (1589 / 9084)
备注 (3): 双击编辑备注
发表讨论

诺安优选回报混合A(001743) - 历史基金净值数据曲线

最后更新于:2026-02-10

数据选项
加载中......
诺安优选回报混合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
2026-02-102.78003.0300
2026-02-092.74702.9970
2026-02-062.67402.9240
2026-02-052.66502.9150
2026-02-042.70002.9500
2026-02-032.66802.9180
2026-02-022.59502.8450
2026-01-302.69702.9470
2026-01-292.68402.9340
2026-01-282.70902.9590
2026-01-272.71402.9640
2026-01-262.70502.9550
2026-01-232.78103.0310
2026-01-222.75403.0040
2026-01-212.77303.0230
2026-01-202.71002.9600
2026-01-192.73202.9820
2026-01-162.69902.9490
2026-01-152.70002.9500
2026-01-142.69002.9400
2026-01-132.62502.8750
2026-01-122.64802.8980
2026-01-092.65002.9000
2026-01-082.62602.8760
2026-01-072.56202.8120
2026-01-062.49902.7490
2026-01-052.47602.7260
2025-12-312.39902.6490
2025-12-302.40302.6530
2025-12-292.42502.6750
2025-12-262.40102.6510
2025-12-252.40102.6510
2025-12-242.36502.6150
2025-12-232.31902.5690
2025-12-222.28902.5390
2025-12-192.25102.5010
2025-12-182.23402.4840
2025-12-172.25902.5090
2025-12-162.22902.4790
2025-12-152.27802.5280
2025-12-122.30502.5550
2025-12-112.26502.5150
2025-12-102.26702.5170
2025-12-092.27302.5230
2025-12-082.28502.5350
2025-12-052.28002.5300
2025-12-042.23402.4840
2025-12-032.22602.4760
2025-12-022.23702.4870
2025-12-012.25202.5020