前海开源MSCI中国A股指数A
(006524.jj ) 前海开源基金管理有限公司
基金经理林巧亮周双志基金类型指数型基金成立日期2018-11-27总资产规模783.62万 (2026-03-31) 基金净值1.6301 (2026-07-10) 管理费用率0.50%管托费用率0.10% (2026-04-02) 成立以来分红再投入年化收益率7.90% (2916 / 6108)
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前海开源MSCI中国A股指数A(006524) - 历史基金累计净值数据曲线

最后更新于:2026-07-10

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前海开源MSCI中国A股指数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
2026-07-101.63011.7301
2026-07-091.65551.7555
2026-07-081.61801.7180
2026-07-071.63091.7309
2026-07-061.65071.7507
2026-07-031.65171.7517
2026-07-021.64001.7400
2026-07-011.68771.7877
2026-06-301.69241.7924
2026-06-291.67941.7794
2026-06-261.65991.7599
2026-06-251.70391.8039
2026-06-241.68301.7830
2026-06-231.67081.7708
2026-06-221.71051.8105
2026-06-181.66961.7696
2026-06-171.67171.7717
2026-06-161.65301.7530
2026-06-151.65241.7524
2026-06-121.61451.7145
2026-06-111.59581.6958
2026-06-101.59951.6995
2026-06-091.61501.7150
2026-06-081.58261.6826
2026-06-051.61911.7191
2026-06-041.64591.7459
2026-06-031.65481.7548
2026-06-021.65001.7500
2026-06-011.63011.7301
2026-05-291.64701.7470
2026-05-281.65641.7564
2026-05-271.65491.7549
2026-05-261.66991.7699
2026-05-251.66301.7630
2026-05-221.63991.7399
2026-05-211.61971.7197
2026-05-201.64451.7445
2026-05-191.64421.7442
2026-05-181.63561.7356
2026-05-151.64141.7414
2026-05-141.65941.7594
2026-05-131.68961.7896
2026-05-121.67051.7705
2026-05-111.67631.7763
2026-05-081.64941.7494
2026-05-071.65721.7572
2026-05-061.64901.7490
2026-04-301.62241.7224
2026-04-291.62541.7254
2026-04-281.60991.7099