华商甄选回报混合A
(010761.jj ) 华商基金管理有限公司
基金类型混合型成立日期2021-01-19总资产规模23.87亿 (2025-12-31) 基金净值2.4785 (2026-02-11) 基金经理孙蔚崔志鹏余懿管理费用率1.20%管托费用率0.20% (2025-07-04) 持仓换手率330.77% (2025-06-30) 成立以来分红再投入年化收益率19.64% (869 / 9092)
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华商甄选回报混合A(010761) - 历史基金净值数据曲线

最后更新于:2026-02-11

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华商甄选回报混合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
2026-02-112.47852.4785
2026-02-102.48952.4895
2026-02-092.46472.4647
2026-02-062.38422.3842
2026-02-052.36972.3697
2026-02-042.39772.3977
2026-02-032.40672.4067
2026-02-022.33812.3381
2026-01-302.37712.3771
2026-01-292.36652.3665
2026-01-282.37502.3750
2026-01-272.34282.3428
2026-01-262.31152.3115
2026-01-232.29072.2907
2026-01-222.28572.2857
2026-01-212.26172.2617
2026-01-202.24342.2434
2026-01-192.25752.2575
2026-01-162.24402.2440
2026-01-152.21982.2198
2026-01-142.20582.2058
2026-01-132.19152.1915
2026-01-122.21212.2121
2026-01-092.19312.1931
2026-01-082.18922.1892
2026-01-072.20032.2003
2026-01-062.18292.1829
2026-01-052.17682.1768
2025-12-312.14822.1482
2025-12-302.16282.1628
2025-12-292.15502.1550
2025-12-262.17612.1761
2025-12-252.18542.1854
2025-12-242.18132.1813
2025-12-232.14192.1419
2025-12-222.16792.1679
2025-12-192.10882.1088
2025-12-182.07772.0777
2025-12-172.08622.0862
2025-12-162.01382.0138
2025-12-152.05712.0571
2025-12-122.08172.0817
2025-12-112.04612.0461
2025-12-102.06372.0637
2025-12-092.05532.0553
2025-12-082.05742.0574
2025-12-052.03122.0312
2025-12-042.01612.0161
2025-12-032.02362.0236
2025-12-022.04562.0456