泰康宏泰回报混合A
(002767.jj ) 泰康基金管理有限公司
基金类型混合型成立日期2016-06-08总资产规模4.46亿 (2025-09-30) 基金净值1.6979 (2025-12-19) 基金经理桂跃强蒋利娟管理费用率1.20%管托费用率0.20% (2025-12-05) 持仓换手率7.67% (2025-06-30) 成立以来分红再投入年化收益率5.71% (3782 / 8933)
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泰康宏泰回报混合A(002767) - 历史基金净值数据曲线

最后更新于:2025-12-19

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泰康宏泰回报混合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
2025-12-191.69791.6979
2025-12-181.69751.6975
2025-12-171.69631.6963
2025-12-161.69181.6918
2025-12-151.69471.6947
2025-12-121.69461.6946
2025-12-111.69391.6939
2025-12-101.69431.6943
2025-12-091.69301.6930
2025-12-081.69811.6981
2025-12-051.70141.7014
2025-12-041.69991.6999
2025-12-031.70221.7022
2025-12-021.70241.7024
2025-12-011.70491.7049
2025-11-281.70521.7052
2025-11-271.70251.7025
2025-11-261.70381.7038
2025-11-251.70541.7054
2025-11-241.70881.7088
2025-11-211.71151.7115
2025-11-201.71271.7127
2025-11-191.71351.7135
2025-11-181.71291.7129
2025-11-171.71421.7142
2025-11-141.71631.7163
2025-11-131.71931.7193
2025-11-121.71901.7190
2025-11-111.71871.7187
2025-11-101.71901.7190
2025-11-071.71301.7130
2025-11-061.71481.7148
2025-11-051.71331.7133
2025-11-041.71281.7128
2025-11-031.71381.7138
2025-10-311.71381.7138
2025-10-301.71251.7125
2025-10-291.70991.7099
2025-10-281.70861.7086
2025-10-271.70991.7099
2025-10-241.70591.7059
2025-10-231.70611.7061
2025-10-221.70191.7019
2025-10-211.70381.7038
2025-10-201.70091.7009
2025-10-171.70331.7033
2025-10-161.70631.7063
2025-10-151.70791.7079
2025-10-141.70571.7057
2025-10-131.70651.7065