财通资管鑫锐混合A
(004900.jj ) 财通证券资产管理有限公司
基金类型混合型成立日期2017-12-06总资产规模664.12万 (2025-12-31) 基金净值1.6954 (2026-02-04) 基金经理石玉山马航管理费用率0.65%管托费用率0.15% (2025-06-30) 持仓换手率91.18% (2025-06-30) 成立以来分红再投入年化收益率6.68% (3988 / 9048)
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财通资管鑫锐混合A(004900) - 历史基金净值数据曲线

最后更新于:2026-02-04

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财通资管鑫锐混合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
2026-02-041.69541.6954
2026-02-031.68631.6863
2026-02-021.67111.6711
2026-01-301.69321.6932
2026-01-291.70481.7048
2026-01-281.70521.7052
2026-01-271.70411.7041
2026-01-261.70081.7008
2026-01-231.70231.7023
2026-01-221.69641.6964
2026-01-211.68971.6897
2026-01-201.68311.6831
2026-01-191.68361.6836
2026-01-161.67941.6794
2026-01-151.68051.6805
2026-01-141.68081.6808
2026-01-131.67731.6773
2026-01-121.68541.6854
2026-01-091.67021.6702
2026-01-081.65851.6585
2026-01-071.66011.6601
2026-01-061.66031.6603
2026-01-051.65491.6549
2025-12-311.64671.6467
2025-12-301.64821.6482
2025-12-291.65411.6541
2025-12-261.66291.6629
2025-12-251.66261.6626
2025-12-241.66231.6623
2025-12-231.65671.6567
2025-12-221.65101.6510
2025-12-191.65271.6527
2025-12-181.64011.6401
2025-12-171.63531.6353
2025-12-161.62391.6239
2025-12-151.63091.6309
2025-12-121.63901.6390
2025-12-111.64821.6482
2025-12-101.65181.6518
2025-12-091.64561.6456
2025-12-081.64351.6435
2025-12-051.64461.6446
2025-12-041.63711.6371
2025-12-031.65371.6537
2025-12-021.66161.6616
2025-12-011.66781.6678
2025-11-281.66861.6686
2025-11-271.66041.6604
2025-11-261.65971.6597
2025-11-251.66931.6693