诺安优选回报混合A
(001743.jj ) 诺安基金管理有限公司
基金经理杨谷基金类型混合型成立日期2016-09-22总资产规模8.60亿 (2026-06-30) 基金净值2.6450 (2026-07-24) 管理费用率1.20%管托费用率0.10% (2025-08-27) 成立以来分红再投入年化收益率12.89% (1473 / 9321)
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诺安优选回报混合A(001743) - 历史基金累计净值数据曲线

最后更新于:2026-07-24

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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
2026-07-242.64502.8950
2026-07-232.69602.9460
2026-07-222.71602.9660
2026-07-212.71602.9660
2026-07-202.60102.8510
2026-07-172.65502.9050
2026-07-162.82903.0790
2026-07-152.87603.1260
2026-07-142.89003.1400
2026-07-132.84203.0920
2026-07-102.97403.2240
2026-07-093.06803.3180
2026-07-083.01003.2600
2026-07-073.03003.2800
2026-07-063.10603.3560
2026-07-033.09803.3480
2026-07-023.06703.3170
2026-07-013.15703.4070
2026-06-303.14903.3990
2026-06-293.03103.2810
2026-06-263.04703.2970
2026-06-253.08903.3390
2026-06-243.11603.3660
2026-06-233.06903.3190
2026-06-223.07503.3250
2026-06-183.05603.3060
2026-06-172.99803.2480
2026-06-162.99403.2440
2026-06-152.94903.1990
2026-06-122.84003.0900
2026-06-112.81603.0660
2026-06-102.78403.0340
2026-06-092.80603.0560
2026-06-082.73502.9850
2026-06-052.81803.0680
2026-06-042.80403.0540
2026-06-032.83503.0850
2026-06-022.79403.0440
2026-06-012.75003.0000
2026-05-292.80803.0580
2026-05-282.93503.1850
2026-05-272.90203.1520
2026-05-262.94103.1910
2026-05-252.98603.2360
2026-05-222.95803.2080
2026-05-212.91403.1640
2026-05-203.03303.2830
2026-05-192.99703.2470
2026-05-182.94503.1950
2026-05-152.96303.2130