中海顺鑫混合
(002213.jj ) 中海基金管理有限公司
基金类型混合型成立日期2015-12-30总资产规模6,409.70万 (2025-12-31) 基金净值1.6195 (2026-02-05) 基金经理邱红丽管理费用率1.20%管托费用率0.20% (2025-11-28) 持仓换手率375.15% (2025-06-30) 成立以来分红再投入年化收益率5.23% (4664 / 9049)
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中海顺鑫混合(002213) - 历史基金净值数据曲线

最后更新于:2026-02-05

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中海顺鑫混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-051.61951.6525
2026-02-041.63421.6672
2026-02-031.62481.6578
2026-02-021.59811.6311
2026-01-301.65211.6851
2026-01-291.66641.6994
2026-01-281.67251.7055
2026-01-271.65381.6868
2026-01-261.65071.6837
2026-01-231.64821.6812
2026-01-221.64671.6797
2026-01-211.63961.6726
2026-01-201.62871.6617
2026-01-191.63061.6636
2026-01-161.62461.6576
2026-01-151.62111.6541
2026-01-141.61191.6449
2026-01-131.62071.6537
2026-01-121.62821.6612
2026-01-091.62551.6585
2026-01-081.61371.6467
2026-01-071.62851.6615
2026-01-061.62461.6576
2026-01-051.60191.6349
2025-12-311.58301.6160
2025-12-301.57761.6106
2025-12-291.56021.5932
2025-12-261.56851.6015
2025-12-251.56061.5936
2025-12-241.54701.5800
2025-12-231.53951.5725
2025-12-221.53751.5705
2025-12-191.52641.5594
2025-12-181.51991.5529
2025-12-171.52401.5570
2025-12-161.50261.5356
2025-12-151.51961.5526
2025-12-121.52721.5602
2025-12-111.51491.5479
2025-12-101.52241.5554
2025-12-091.51961.5526
2025-12-081.53251.5655
2025-12-051.52771.5607
2025-12-041.51091.5439
2025-12-031.50431.5373
2025-12-021.50001.5330
2025-12-011.50731.5403
2025-11-281.49481.5278
2025-11-271.49051.5235
2025-11-261.48731.5203