恒生前海沪港深新兴产业精选混合
(004332.jj ) 恒生前海基金管理有限公司
基金类型混合型成立日期2017-04-01总资产规模8,691.54万 (2025-09-30) 基金净值1.4536 (2025-12-29) 基金经理邢程管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率208.28% (2025-06-30) 成立以来分红再投入年化收益率4.37% (4691 / 8952)
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恒生前海沪港深新兴产业精选混合(004332) - 历史基金净值数据曲线

最后更新于:2025-12-29

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恒生前海沪港深新兴产业精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-291.45361.4536
2025-12-261.44851.4485
2025-12-251.44601.4460
2025-12-241.43841.4384
2025-12-231.42551.4255
2025-12-221.41581.4158
2025-12-191.38841.3884
2025-12-181.38351.3835
2025-12-171.39741.3974
2025-12-161.35881.3588
2025-12-151.38011.3801
2025-12-121.39651.3965
2025-12-111.37711.3771
2025-12-101.39731.3973
2025-12-091.39421.3942
2025-12-081.38781.3878
2025-12-051.37431.3743
2025-12-041.35501.3550
2025-12-031.34721.3472
2025-12-021.34651.3465
2025-12-011.35531.3553
2025-11-281.34221.3422
2025-11-271.32891.3289
2025-11-261.33011.3301
2025-11-251.31921.3192
2025-11-241.30041.3004
2025-11-211.28521.2852
2025-11-201.33601.3360
2025-11-191.34531.3453
2025-11-181.35181.3518
2025-11-171.36541.3654
2025-11-141.37651.3765
2025-11-131.39581.3958
2025-11-121.38541.3854
2025-11-111.39491.3949
2025-11-101.40601.4060
2025-11-071.41421.4142
2025-11-061.42221.4222
2025-11-051.39911.3991
2025-11-041.39591.3959
2025-11-031.42001.4200
2025-10-311.43671.4367
2025-10-301.46441.4644
2025-10-291.48331.4833
2025-10-281.45421.4542
2025-10-271.46971.4697
2025-10-241.44221.4422
2025-10-231.40841.4084
2025-10-221.40911.4091
2025-10-211.42171.4217