前海开源沪港深核心驱动混合
(003993.jj ) 前海开源基金管理有限公司
基金类型混合型成立日期2016-12-13总资产规模1.72亿 (2025-09-30) 基金净值2.0746 (2025-12-30) 基金经理叶嘉管理费用率1.20%管托费用率0.20% (2025-12-10) 持仓换手率172.09% (2025-06-30) 成立以来分红再投入年化收益率12.39% (1585 / 8952)
备注 (2): 双击编辑备注
发表讨论

前海开源沪港深核心驱动混合(003993) - 历史基金净值数据曲线

最后更新于:2025-12-30

数据选项
加载中......
前海开源沪港深核心驱动混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-302.07462.5226
2025-12-292.06062.5086
2025-12-262.09682.5448
2025-12-252.07372.5217
2025-12-242.07692.5249
2025-12-232.07122.5192
2025-12-222.07082.5188
2025-12-192.05012.4981
2025-12-182.02862.4766
2025-12-172.02902.4770
2025-12-161.99992.4479
2025-12-152.02532.4733
2025-12-122.02652.4745
2025-12-112.00702.4550
2025-12-102.01892.4669
2025-12-092.00392.4519
2025-12-082.04142.4894
2025-12-052.03992.4879
2025-12-042.02042.4684
2025-12-032.02432.4723
2025-12-022.03462.4826
2025-12-012.03962.4876
2025-11-282.02552.4735
2025-11-272.01672.4647
2025-11-262.01112.4591
2025-11-252.01312.4611
2025-11-242.00102.4490
2025-11-211.99102.4390
2025-11-202.05162.4996
2025-11-192.06322.5112
2025-11-182.04992.4979
2025-11-172.09262.5406
2025-11-142.08792.5359
2025-11-132.12672.5747
2025-11-122.08252.5305
2025-11-112.07932.5273
2025-11-102.08602.5340
2025-11-072.05282.5008
2025-11-062.03622.4842
2025-11-051.99772.4457
2025-11-041.99622.4442
2025-11-032.03352.4815
2025-10-312.02422.4722
2025-10-302.05142.4994
2025-10-292.03112.4791
2025-10-282.01102.4590
2025-10-272.03372.4817
2025-10-242.01272.4607
2025-10-231.99252.4405
2025-10-221.97902.4270