金元顺安元启灵活配置混合
(004685.jj ) 金元顺安基金管理有限公司
基金类型混合型成立日期2017-11-14总资产规模15.64亿 (2025-12-31) 基金净值6.9275 (2026-04-08) 基金经理缪玮彬管理费用率1.20%管托费用率0.10% (2025-11-01) 持仓换手率266.55% (2025-06-30) 成立以来分红再投入年化收益率25.91% (444 / 9095)
备注 (20): 双击编辑备注
发表讨论

金元顺安元启灵活配置混合(004685) - 历史基金净值数据曲线

最后更新于:2026-04-08

数据选项
加载中......
金元顺安元启灵活配置混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-04-086.92756.9275
2026-04-076.80936.8093
2026-04-036.66456.6645
2026-04-026.84996.8499
2026-04-016.91866.9186
2026-03-316.89656.8965
2026-03-306.95416.9541
2026-03-276.90076.9007
2026-03-266.81586.8158
2026-03-256.86786.8678
2026-03-246.75576.7557
2026-03-236.55056.5505
2026-03-206.85796.8579
2026-03-197.00447.0044
2026-03-187.11847.1184
2026-03-177.07757.0775
2026-03-167.14267.1426
2026-03-137.12427.1242
2026-03-127.11927.1192
2026-03-117.14957.1495
2026-03-107.17007.1700
2026-03-097.11167.1116
2026-03-067.14127.1412
2026-03-056.99886.9988
2026-03-046.94006.9400
2026-03-036.97636.9763
2026-03-027.06747.0674
2026-02-277.19107.1910
2026-02-267.15267.1526
2026-02-257.17527.1752
2026-02-247.14807.1480
2026-02-137.05627.0562
2026-02-127.08487.0848
2026-02-117.16247.1624
2026-02-107.17397.1739
2026-02-097.16377.1637
2026-02-067.10127.1012
2026-02-057.09147.0914
2026-02-047.10167.1016
2026-02-037.02127.0212
2026-02-026.95436.9543
2026-01-307.02817.0281
2026-01-297.01937.0193
2026-01-286.99376.9937
2026-01-277.01527.0152
2026-01-267.05637.0563
2026-01-237.05447.0544
2026-01-227.00827.0082
2026-01-216.96046.9604
2026-01-206.94336.9433