前海联合泳涛混合A
(004634.jj ) 新疆前海联合基金管理有限公司
基金类型混合型成立日期2017-06-07总资产规模877.51万 (2025-12-31) 基金净值1.1778 (2026-01-30) 基金经理王静管理费用率0.60%管托费用率0.10% (2025-07-09) 持仓换手率12.79倍 (2025-06-30) 成立以来分红再投入年化收益率1.91% (6680 / 9035)
备注 (0): 双击编辑备注
发表讨论

前海联合泳涛混合A(004634) - 历史基金净值数据曲线

最后更新于:2026-01-30

数据选项
加载中......
前海联合泳涛混合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
2026-01-301.17781.1778
2026-01-291.19241.1924
2026-01-281.20521.2052
2026-01-271.22641.2264
2026-01-261.21341.2134
2026-01-231.27711.2771
2026-01-221.19611.1961
2026-01-211.17121.1712
2026-01-201.19011.1901
2026-01-191.23131.2313
2026-01-161.22991.2299
2026-01-151.23871.2387
2026-01-141.34151.3415
2026-01-131.30881.3088
2026-01-121.36051.3605
2026-01-091.26601.2660
2026-01-081.23571.2357
2026-01-071.20091.2009
2026-01-061.19651.1965
2026-01-051.17571.1757
2025-12-311.16611.1661
2025-12-301.15111.1511
2025-12-291.15851.1585
2025-12-261.15711.1571
2025-12-251.15111.1511
2025-12-241.12041.1204
2025-12-231.09001.0900
2025-12-221.09201.0920
2025-12-191.08281.0828
2025-12-181.07001.0700
2025-12-171.08301.0830
2025-12-161.06931.0693
2025-12-151.08301.0830
2025-12-121.10271.1027
2025-12-111.07871.0787
2025-12-101.08931.0893
2025-12-091.08071.0807
2025-12-081.08451.0845
2025-12-051.06881.0688
2025-12-041.05821.0582
2025-12-031.06791.0679
2025-12-021.07611.0761
2025-12-011.08641.0864
2025-11-281.08381.0838
2025-11-271.07471.0747
2025-11-261.07351.0735
2025-11-251.06931.0693
2025-11-241.05361.0536
2025-11-211.05631.0563
2025-11-201.09941.0994