九泰锐升混合
(010764.jj ) 九泰基金管理有限公司
基金类型混合型成立日期2021-01-20总资产规模1.27亿 (2025-09-30) 基金净值0.9209 (2025-12-19) 基金经理刘开运管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率111.70% (2025-06-30) 成立以来分红再投入年化收益率-1.66% (7460 / 8933)
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九泰锐升混合(010764) - 历史基金净值数据曲线

最后更新于:2025-12-19

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九泰锐升混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-190.92090.9209
2025-12-180.91690.9169
2025-12-170.92370.9237
2025-12-160.91300.9130
2025-12-150.92310.9231
2025-12-120.92910.9291
2025-12-110.92270.9227
2025-12-100.92790.9279
2025-12-090.93010.9301
2025-12-080.94040.9404
2025-12-050.94320.9432
2025-12-040.93790.9379
2025-12-030.93410.9341
2025-12-020.93260.9326
2025-12-010.93290.9329
2025-11-280.92890.9289
2025-11-270.92220.9222
2025-11-260.92340.9234
2025-11-250.91730.9173
2025-11-240.91040.9104
2025-11-210.90630.9063
2025-11-200.92150.9215
2025-11-190.92530.9253
2025-11-180.92430.9243
2025-11-170.93310.9331
2025-11-140.94170.9417
2025-11-130.95440.9544
2025-11-120.94610.9461
2025-11-110.94730.9473
2025-11-100.94940.9494
2025-11-070.94780.9478
2025-11-060.94790.9479
2025-11-050.93440.9344
2025-11-040.92600.9260
2025-11-030.93500.9350
2025-10-310.93250.9325
2025-10-300.94040.9404
2025-10-290.94280.9428
2025-10-280.92280.9228
2025-10-270.92980.9298
2025-10-240.92010.9201
2025-10-230.91170.9117
2025-10-220.90630.9063
2025-10-210.90920.9092
2025-10-200.90110.9011
2025-10-170.89140.8914
2025-10-160.91810.9181
2025-10-150.91780.9178
2025-10-140.90200.9020
2025-10-130.91220.9122