国联安鑫元1个月持有混合A
(010931.jj ) 国联安基金管理有限公司
基金类型混合型成立日期2021-08-25总资产规模4,940.62万 (2025-12-31) 基金净值1.1742 (2025-12-29) 管理费用率0.60%管托费用率0.10% (2025-06-30) 持仓换手率99.51% (2025-06-30) 成立以来分红再投入年化收益率3.77% (5525 / 9075)
备注 (0): 双击编辑备注
发表讨论

国联安鑫元1个月持有混合A(010931) - 基金对比

最后更新于:2025-12-29

数据选项
非全收益率指数点位的计算不包含分红再投入,所以理论上指数基金的分红再投入收益率高于其对应的指数点位涨幅。
加载中......
比较起始时间为2025-12-29,最多展示50条数据。
日期国联安鑫元1个月持有混合A - 相对起始点分红再投入收益率沪深300 - 相对起始点收益率
2025-12-2913.38%34.34%
2025-12-2613.50%34.86%
2025-12-2513.42%34.44%
2025-12-2413.39%34.19%
2025-12-2313.32%33.80%
2025-12-2213.27%33.54%
2025-12-1913.26%32.28%
2025-12-1813.01%31.84%
2025-12-1713.08%32.62%
2025-12-1612.74%30.24%
2025-12-1512.85%31.82%
2025-12-1213.01%32.65%
2025-12-1112.86%31.82%
2025-12-1012.92%32.97%
2025-12-0912.84%33.15%
2025-12-0812.92%33.83%
2025-12-0512.87%32.76%
2025-12-0412.77%31.66%
2025-12-0312.82%31.21%
2025-12-0212.84%31.88%
2025-12-0113.01%32.52%
2025-11-2812.90%31.08%
2025-11-2712.77%30.75%
2025-11-2612.83%30.82%
2025-11-2512.88%30.03%
2025-11-2412.85%28.80%
2025-11-2112.72%28.96%
2025-11-2012.96%32.19%
2025-11-1913.03%32.86%
2025-11-1813.02%32.28%
2025-11-1713.09%33.15%
2025-11-1413.13%34.02%
2025-11-1313.27%36.16%
2025-11-1213.10%34.53%
2025-11-1113.08%34.71%
2025-11-1013.12%35.96%
2025-11-0713.05%35.49%
2025-11-0613.09%35.91%
2025-11-0512.93%33.99%
2025-11-0412.89%33.75%
2025-11-0313.11%34.75%
2025-10-3113.18%34.38%
2025-10-3013.13%36.39%
2025-10-2913.19%37.48%
2025-10-2813.09%35.87%
2025-10-2713.04%36.56%
2025-10-2412.83%34.96%
2025-10-2312.69%33.39%
2025-10-2212.71%32.99%
2025-10-2112.80%33.43%