景顺长城价值驱动一年持有期灵活配置混合
(008715.jj ) 景顺长城基金管理有限公司
基金类型混合型成立日期2021-07-19总资产规模3.63亿 (2025-12-31) 基金净值1.9394 (2026-02-02) 基金经理邹立虎管理费用率1.20%管托费用率0.20% (2025-11-29) 持仓换手率81.67% (2025-06-30) 成立以来分红再投入年化收益率15.72% (1170 / 9039)
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景顺长城价值驱动一年持有期灵活配置混合(008715) - 历史基金净值数据曲线

最后更新于:2026-02-02

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景顺长城价值驱动一年持有期灵活配置混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-021.93941.9394
2026-01-302.02212.0221
2026-01-292.09402.0940
2026-01-282.06262.0626
2026-01-271.99861.9986
2026-01-261.99391.9939
2026-01-231.95581.9558
2026-01-221.93351.9335
2026-01-211.93891.9389
2026-01-201.92541.9254
2026-01-191.91511.9151
2026-01-161.90841.9084
2026-01-151.92571.9257
2026-01-141.92021.9202
2026-01-131.91641.9164
2026-01-121.90181.9018
2026-01-091.88241.8824
2026-01-081.86091.8609
2026-01-071.87991.8799
2026-01-061.88641.8864
2026-01-051.84571.8457
2025-12-311.82431.8243
2025-12-301.81401.8140
2025-12-291.79381.7938
2025-12-261.82291.8229
2025-12-251.79601.7960
2025-12-241.79981.7998
2025-12-231.79871.7987
2025-12-221.80831.8083
2025-12-191.79301.7930
2025-12-181.77191.7719
2025-12-171.77331.7733
2025-12-161.74611.7461
2025-12-151.77961.7796
2025-12-121.77501.7750
2025-12-111.74971.7497
2025-12-101.76081.7608
2025-12-091.75351.7535
2025-12-081.78911.7891
2025-12-051.79781.7978
2025-12-041.77211.7721
2025-12-031.76391.7639
2025-12-021.75201.7520
2025-12-011.76431.7643
2025-11-281.73921.7392
2025-11-271.73011.7301
2025-11-261.72641.7264
2025-11-251.72961.7296
2025-11-241.71371.7137
2025-11-211.70681.7068