前海开源优质企业6个月持有混合A
(010717.jj ) 前海开源基金管理有限公司
基金经理曲扬基金类型混合型成立日期2021-01-08总资产规模25.88亿 (2025-12-31) 基金净值0.5723 (2026-04-21) 管理费用率1.20%管托费用率0.20% (2025-12-31) 持仓换手率219.35% (2025-12-31) 成立以来分红再投入年化收益率-10.02% (8931 / 9086)
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前海开源优质企业6个月持有混合A(010717) - 历史基金净值数据曲线

最后更新于:2026-04-21

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前海开源优质企业6个月持有混合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
2026-04-210.57230.5723
2026-04-200.57090.5709
2026-04-170.57220.5722
2026-04-160.57590.5759
2026-04-150.56750.5675
2026-04-140.56140.5614
2026-04-130.55690.5569
2026-04-100.55830.5583
2026-04-090.55490.5549
2026-04-080.56010.5601
2026-04-070.54400.5440
2026-04-030.54670.5467
2026-04-020.54850.5485
2026-04-010.55410.5541
2026-03-310.54080.5408
2026-03-300.54770.5477
2026-03-270.54350.5435
2026-03-260.53750.5375
2026-03-250.54070.5407
2026-03-240.53770.5377
2026-03-230.52650.5265
2026-03-200.54410.5441
2026-03-190.55120.5512
2026-03-180.57080.5708
2026-03-170.56990.5699
2026-03-160.57070.5707
2026-03-130.56750.5675
2026-03-120.57180.5718
2026-03-110.57930.5793
2026-03-100.57480.5748
2026-03-090.55710.5571
2026-03-060.56190.5619
2026-03-050.55830.5583
2026-03-040.56540.5654
2026-03-030.57770.5777
2026-03-020.59550.5955
2026-02-270.58960.5896
2026-02-260.58430.5843
2026-02-250.59680.5968
2026-02-240.58820.5882
2026-02-130.58290.5829
2026-02-120.59740.5974
2026-02-110.59790.5979
2026-02-100.59390.5939
2026-02-090.59450.5945
2026-02-060.58400.5840
2026-02-050.59220.5922
2026-02-040.60600.6060
2026-02-030.60520.6052
2026-02-020.59840.5984