前海开源沪港深裕鑫A
(004316.jj ) 前海开源基金管理有限公司
基金经理王霞毕建强基金类型混合型成立日期2017-03-23总资产规模1.91亿 (2026-03-31) 基金净值1.0673 (2026-07-20) 管理费用率1.20%管托费用率0.20% (2025-12-10) 成立以来分红再投入年化收益率6.12% (3529 / 9305)
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前海开源沪港深裕鑫A(004316) - 历史基金累计净值数据曲线

最后更新于:2026-07-20

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前海开源沪港深裕鑫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
2026-07-201.06731.7173
2026-07-171.03221.6822
2026-07-161.05811.7081
2026-07-151.05551.7055
2026-07-141.05831.7083
2026-07-131.02251.6725
2026-07-101.02401.6740
2026-07-091.01661.6666
2026-07-081.02771.6777
2026-07-071.02971.6797
2026-07-061.05271.7027
2026-07-031.04391.6939
2026-07-021.00281.6528
2026-07-010.99441.6444
2026-06-300.99931.6493
2026-06-291.02141.6714
2026-06-261.01201.6620
2026-06-251.03021.6802
2026-06-241.07091.7209
2026-06-231.08141.7314
2026-06-221.13751.7875
2026-06-181.13101.7810
2026-06-171.14671.7967
2026-06-161.14841.7984
2026-06-151.16931.8193
2026-06-121.15791.8079
2026-06-111.12041.7704
2026-06-101.11881.7688
2026-06-091.14511.7951
2026-06-081.15951.8095
2026-06-051.18411.8341
2026-06-041.21051.8605
2026-06-031.23931.8893
2026-06-021.23741.8874
2026-06-011.21641.8664
2026-05-291.19931.8493
2026-05-281.19621.8462
2026-05-271.21991.8699
2026-05-261.23941.8894
2026-05-251.21511.8651
2026-05-221.21461.8646
2026-05-211.20131.8513
2026-05-201.22031.8703
2026-05-191.22221.8722
2026-05-181.23051.8805
2026-05-151.24011.8901
2026-05-141.28421.9342
2026-05-131.31231.9623
2026-05-121.30731.9573
2026-05-111.29541.9454