东财医药A
(008551.jj ) 中证医药 (半年) 东财基金管理有限公司
基金类型指数型基金成立日期2020-04-10总资产规模4,812.58万 (2025-09-30) 基金净值0.8814 (2025-12-29) 基金经理姚楠燕管理费用率0.50%管托费用率0.05% (2025-09-18) 持仓换手率80.95% (2025-06-30) 成立以来分红再投入年化收益率-2.18% (4863 / 5479)
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东财医药A(008551) - 历史基金净值数据曲线

最后更新于:2025-12-29

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东财医药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
2025-12-290.88140.8814
2025-12-260.89080.8908
2025-12-250.89140.8914
2025-12-240.88650.8865
2025-12-230.88590.8859
2025-12-220.89020.8902
2025-12-190.89330.8933
2025-12-180.88390.8839
2025-12-170.88330.8833
2025-12-160.87250.8725
2025-12-150.88420.8842
2025-12-120.89530.8953
2025-12-110.89090.8909
2025-12-100.89610.8961
2025-12-090.89430.8943
2025-12-080.89830.8983
2025-12-050.89690.8969
2025-12-040.89250.8925
2025-12-030.89080.8908
2025-12-020.89390.8939
2025-12-010.90600.9060
2025-11-280.90300.9030
2025-11-270.90100.9010
2025-11-260.90580.9058
2025-11-250.90180.9018
2025-11-240.89900.8990
2025-11-210.89150.8915
2025-11-200.90710.9071
2025-11-190.91230.9123
2025-11-180.91860.9186
2025-11-170.92310.9231
2025-11-140.93880.9388
2025-11-130.94430.9443
2025-11-120.93290.9329
2025-11-110.92980.9298
2025-11-100.93310.9331
2025-11-070.92140.9214
2025-11-060.92340.9234
2025-11-050.92110.9211
2025-11-040.92060.9206
2025-11-030.93700.9370
2025-10-310.94390.9439
2025-10-300.93050.9305
2025-10-290.95010.9501
2025-10-280.94280.9428
2025-10-270.95260.9526
2025-10-240.94490.9449
2025-10-230.94210.9421
2025-10-220.94410.9441
2025-10-210.95080.9508