嘉实鑫福一年持有期混合
(009819.jj ) 嘉实基金管理有限公司
基金类型混合型成立日期2022-08-23总资产规模6.61亿 (2025-12-31) 基金净值0.9568 (2026-02-13) 基金经理李欣李曈管理费用率0.60%管托费用率0.20% (2026-01-30) 持仓换手率223.30% (2025-06-30) 成立以来分红再投入年化收益率-1.26% (7902 / 9078)
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嘉实鑫福一年持有期混合(009819) - 历史基金累计净值数据曲线

最后更新于:2026-02-13

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嘉实鑫福一年持有期混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-130.95680.9568
2026-02-120.95980.9598
2026-02-110.95850.9585
2026-02-100.95800.9580
2026-02-090.95720.9572
2026-02-060.95280.9528
2026-02-050.95290.9529
2026-02-040.95580.9558
2026-02-030.95610.9561
2026-02-020.95010.9501
2026-01-300.95970.9597
2026-01-290.96290.9629
2026-01-280.96310.9631
2026-01-270.95970.9597
2026-01-260.95770.9577
2026-01-230.95760.9576
2026-01-220.95820.9582
2026-01-210.95760.9576
2026-01-200.95590.9559
2026-01-190.95750.9575
2026-01-160.95600.9560
2026-01-150.95600.9560
2026-01-140.95440.9544
2026-01-130.95430.9543
2026-01-120.95500.9550
2026-01-090.95210.9521
2026-01-080.95050.9505
2026-01-070.95260.9526
2026-01-060.95310.9531
2026-01-050.95050.9505
2025-12-310.94700.9470
2025-12-300.94840.9484
2025-12-290.94790.9479
2025-12-260.94810.9481
2025-12-250.94890.9489
2025-12-240.94870.9487
2025-12-230.94690.9469
2025-12-220.94640.9464
2025-12-190.94520.9452
2025-12-180.94450.9445
2025-12-170.94460.9446
2025-12-160.94030.9403
2025-12-150.94200.9420
2025-12-120.94290.9429
2025-12-110.94180.9418
2025-12-100.94390.9439
2025-12-090.94410.9441
2025-12-080.94380.9438
2025-12-050.94230.9423
2025-12-040.94150.9415