金信量化精选混合A
(002862.jj ) 金信基金管理有限公司
基金类型混合型成立日期2016-07-01总资产规模1,589.23万 (2025-12-31) 基金净值1.6571 (2026-02-10) 基金经理谭佳俊管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率18.31倍 (2025-06-30) 成立以来分红再投入年化收益率8.44% (3257 / 9085)
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金信量化精选混合A(002862) - 历史基金累计净值数据曲线

最后更新于:2026-02-10

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金信量化精选混合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
2026-02-101.65711.9880
2026-02-091.66261.9935
2026-02-061.57771.9086
2026-02-051.58831.9192
2026-02-041.65081.9817
2026-02-031.67112.0020
2026-02-021.56351.8944
2026-01-301.58941.9203
2026-01-291.52051.8514
2026-01-281.57021.9011
2026-01-271.55921.8901
2026-01-261.51441.8453
2026-01-231.52761.8585
2026-01-221.53361.8645
2026-01-211.49601.8269
2026-01-201.45891.7898
2026-01-191.49481.8257
2026-01-161.52681.8577
2026-01-151.55011.8810
2026-01-141.59251.9234
2026-01-131.50381.8347
2026-01-121.50581.8367
2026-01-091.41441.7453
2026-01-081.35041.6813
2026-01-071.35251.6834
2026-01-061.30721.6381
2026-01-051.31301.6439
2025-12-311.26131.5922
2025-12-301.24811.5790
2025-12-291.22891.5598
2025-12-261.24501.5759
2025-12-251.26931.6002
2025-12-241.24651.5774
2025-12-231.22981.5607
2025-12-221.19911.5300
2025-12-191.18051.5114
2025-12-181.19841.5293
2025-12-171.19761.5285
2025-12-161.14941.4803
2025-12-151.18421.5151
2025-12-121.22821.5591
2025-12-111.19671.5276
2025-12-101.23141.5623
2025-12-091.22501.5559
2025-12-081.18701.5179
2025-12-051.14531.4762
2025-12-041.12751.4584
2025-12-031.14881.4797
2025-12-021.18501.5159
2025-12-011.20231.5332