泰康景泰回报混合A
(005014.jj ) 泰康基金管理有限公司
基金类型混合型成立日期2017-12-13总资产规模6.11亿 (2025-12-31) 基金净值1.8296 (2026-02-06) 基金经理宋仁杰管理费用率1.20%管托费用率0.20% (2026-01-08) 持仓换手率139.98% (2025-06-30) 成立以来分红再投入年化收益率7.70% (3385 / 9081)
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泰康景泰回报混合A(005014) - 历史基金净值数据曲线

最后更新于:2026-02-06

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泰康景泰回报混合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
2026-02-061.82961.8296
2026-02-051.83171.8317
2026-02-041.83111.8311
2026-02-031.82281.8228
2026-02-021.81391.8139
2026-01-301.83601.8360
2026-01-291.85041.8504
2026-01-281.84621.8462
2026-01-271.83721.8372
2026-01-261.83921.8392
2026-01-231.82981.8298
2026-01-221.82541.8254
2026-01-211.82661.8266
2026-01-201.82001.8200
2026-01-191.81491.8149
2026-01-161.80231.8023
2026-01-151.80721.8072
2026-01-141.80371.8037
2026-01-131.80261.8026
2026-01-121.80341.8034
2026-01-091.79481.7948
2026-01-081.78771.7877
2026-01-071.78761.7876
2026-01-061.79171.7917
2026-01-051.78531.7853
2025-12-311.77771.7777
2025-12-301.77641.7764
2025-12-291.77591.7759
2025-12-261.78151.7815
2025-12-251.78021.7802
2025-12-241.78021.7802
2025-12-231.78221.7822
2025-12-221.78071.7807
2025-12-191.77751.7775
2025-12-181.77461.7746
2025-12-171.77371.7737
2025-12-161.76491.7649
2025-12-151.77131.7713
2025-12-121.77021.7702
2025-12-111.76471.7647
2025-12-101.76831.7683
2025-12-091.76331.7633
2025-12-081.76921.7692
2025-12-051.77191.7719
2025-12-041.76671.7667
2025-12-031.76911.7691
2025-12-021.77061.7706
2025-12-011.77211.7721
2025-11-281.76391.7639
2025-11-271.76141.7614