工银成长精选混合A
(011069.jj ) 工银瑞信基金管理有限公司
基金类型混合型成立日期2021-03-25总资产规模11.62亿 (2025-09-30) 基金净值0.7033 (2025-12-31) 基金经理赵蓓管理费用率1.20%管托费用率0.20% (2025-11-28) 持仓换手率260.22% (2025-06-30) 成立以来分红再投入年化收益率-7.12% (8574 / 8953)
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工银成长精选混合A(011069) - 历史基金净值数据曲线

最后更新于:2025-12-31

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工银成长精选混合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
2025-12-310.70330.7033
2025-12-300.70830.7083
2025-12-290.71630.7163
2025-12-260.73040.7304
2025-12-250.73540.7354
2025-12-240.73390.7339
2025-12-230.73780.7378
2025-12-220.73230.7323
2025-12-190.73380.7338
2025-12-180.71410.7141
2025-12-170.71590.7159
2025-12-160.71040.7104
2025-12-150.72170.7217
2025-12-120.75210.7521
2025-12-110.74820.7482
2025-12-100.75000.7500
2025-12-090.75160.7516
2025-12-080.75720.7572
2025-12-050.76480.7648
2025-12-040.76460.7646
2025-12-030.75120.7512
2025-12-020.75890.7589
2025-12-010.76980.7698
2025-11-280.77770.7777
2025-11-270.77750.7775
2025-11-260.77570.7757
2025-11-250.76120.7612
2025-11-240.75690.7569
2025-11-210.73410.7341
2025-11-200.75910.7591
2025-11-190.75480.7548
2025-11-180.76010.7601
2025-11-170.76550.7655
2025-11-140.78350.7835
2025-11-130.78370.7837
2025-11-120.75430.7543
2025-11-110.74220.7422
2025-11-100.74680.7468
2025-11-070.73760.7376
2025-11-060.75430.7543
2025-11-050.75400.7540
2025-11-040.75510.7551
2025-11-030.78030.7803
2025-10-310.77600.7760
2025-10-300.74140.7414
2025-10-290.75290.7529
2025-10-280.75080.7508
2025-10-270.76110.7611
2025-10-240.75430.7543
2025-10-230.75260.7526