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7.16亿 (2025-09-30) 基金净值2.3050 (2025-12-12) 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12.12% (1550 / 8945)
备注 (2): 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:2025-12-12

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
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
2025-11-282.25202.5020
2025-11-272.23602.4860
2025-11-262.23402.4840
2025-11-252.22902.4790
2025-11-242.21402.4640
2025-11-212.18702.4370
2025-11-202.25602.5060
2025-11-192.28102.5310
2025-11-182.29402.5440
2025-11-172.32502.5750
2025-11-142.35602.6060
2025-11-132.38902.6390
2025-11-122.37502.6250
2025-11-112.40202.6520
2025-11-102.43302.6830
2025-11-072.41602.6660
2025-11-062.41902.6690
2025-11-052.39702.6470
2025-11-042.36602.6160
2025-11-032.38702.6370
2025-10-312.39402.6440
2025-10-302.39302.6430
2025-10-292.38702.6370
2025-10-282.34702.5970
2025-10-272.35302.6030
2025-10-242.34502.5950
2025-10-232.30702.5570
2025-10-222.31502.5650
2025-10-212.34102.5910
2025-10-202.28502.5350
2025-10-172.26702.5170
2025-10-162.34102.5910
2025-10-152.37402.6240
2025-10-142.35602.6060
2025-10-132.44102.6910
2025-10-102.43702.6870
2025-10-092.47902.7290
2025-09-302.43802.6880
2025-09-292.41702.6670
2025-09-262.37102.6210