南华丰淳混合A
(005296.jj ) 南华基金管理有限公司
基金类型混合型成立日期2017-12-26总资产规模4,877.17万 (2025-12-31) 基金净值1.9814 (2026-01-28) 基金经理徐超章健管理费用率1.00%管托费用率0.20% (2025-09-16) 持仓换手率18.06倍 (2025-06-30) 成立以来分红再投入年化收益率10.28% (2691 / 9012)
备注 (1): 双击编辑备注
发表讨论

南华丰淳混合A(005296) - 历史基金净值数据曲线

最后更新于:2026-01-28

数据选项
加载中......
南华丰淳混合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
2026-01-281.98142.1602
2026-01-272.02972.2085
2026-01-262.00552.1843
2026-01-232.10872.2875
2026-01-222.08742.2662
2026-01-212.08822.2670
2026-01-202.04812.2269
2026-01-192.09682.2756
2026-01-162.04512.2239
2026-01-151.94232.1211
2026-01-141.96192.1407
2026-01-131.99922.1780
2026-01-121.98932.1681
2026-01-091.98102.1598
2026-01-081.92342.1022
2026-01-071.93022.1090
2026-01-061.92262.1014
2026-01-051.92802.1068
2025-12-311.90792.0867
2025-12-301.91852.0973
2025-12-291.82001.9988
2025-12-261.77121.9500
2025-12-251.78201.9608
2025-12-241.71311.8919
2025-12-231.69791.8767
2025-12-221.71041.8892
2025-12-191.68671.8655
2025-12-181.68091.8597
2025-12-171.69671.8755
2025-12-161.67201.8508
2025-12-151.70911.8879
2025-12-121.75851.9373
2025-12-111.75411.9329
2025-12-101.78911.9679
2025-12-091.76691.9457
2025-12-081.78241.9612
2025-12-051.76091.9397
2025-12-041.73081.9096
2025-12-031.69451.8733
2025-12-021.71101.8898
2025-12-011.74721.9260
2025-11-281.72641.9052
2025-11-271.70521.8840
2025-11-261.68091.8597
2025-11-251.65241.8312
2025-11-241.64751.8263
2025-11-211.65941.8382
2025-11-201.63361.8124
2025-11-191.65241.8312
2025-11-181.66271.8415