景顺长城成长领航混合
(009376.jj ) 景顺长城基金管理有限公司
基金类型混合型成立日期2020-05-28总资产规模9.57亿 (2025-12-31) 基金净值1.7245 (2026-03-13) 基金经理杨锐文管理费用率1.20%管托费用率0.20% (2025-11-29) 持仓换手率137.08% (2025-06-30) 成立以来分红再投入年化收益率9.87% (2542 / 9047)
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景顺长城成长领航混合(009376) - 历史基金净值数据曲线

最后更新于:2026-03-13

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景顺长城成长领航混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-03-131.72451.7245
2026-03-121.74361.7436
2026-03-111.74891.7489
2026-03-101.74761.7476
2026-03-091.72001.7200
2026-03-061.74671.7467
2026-03-051.74361.7436
2026-03-041.74091.7409
2026-03-031.75981.7598
2026-03-021.82721.8272
2026-02-271.83931.8393
2026-02-261.83331.8333
2026-02-251.84171.8417
2026-02-241.82791.8279
2026-02-131.82811.8281
2026-02-121.85411.8541
2026-02-111.83751.8375
2026-02-101.83751.8375
2026-02-091.84241.8424
2026-02-061.79811.7981
2026-02-051.79361.7936
2026-02-041.81041.8104
2026-02-031.78851.7885
2026-02-021.72391.7239
2026-01-301.77931.7793
2026-01-291.80441.8044
2026-01-281.82001.8200
2026-01-271.82801.8280
2026-01-261.82211.8221
2026-01-231.85551.8555
2026-01-221.78521.7852
2026-01-211.78571.7857
2026-01-201.76151.7615
2026-01-191.76511.7651
2026-01-161.76401.7640
2026-01-151.74771.7477
2026-01-141.74801.7480
2026-01-131.74741.7474
2026-01-121.77771.7777
2026-01-091.73921.7392
2026-01-081.71581.7158
2026-01-071.70291.7029
2026-01-061.69071.6907
2026-01-051.66491.6649
2025-12-311.62131.6213
2025-12-301.62461.6246
2025-12-291.61931.6193
2025-12-261.63471.6347
2025-12-251.63841.6384
2025-12-241.62741.6274