东方红启华三年持有混合B
(011313.jj )
基金经理周云蔡志鹏基金类型混合型成立日期2021-07-26总资产规模3,556.85万 (2026-06-30) 基金净值4.6542 (2026-09-04) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率0.50% (6843 / 9429)
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东方红启华三年持有混合B(011313) - 历史基金净值数据曲线

最后更新于:2026-09-04

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东方红启华三年持有混合B历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-09-044.65424.6542
2026-09-034.63324.6332
2026-09-024.63394.6339
2026-09-014.67924.6792
2026-08-314.67594.6759
2026-08-284.65374.6537
2026-08-274.65264.6526
2026-08-264.60634.6063
2026-08-254.59344.5934
2026-08-244.56604.5660
2026-08-214.61594.6159
2026-08-204.61714.6171
2026-08-194.59514.5951
2026-08-184.67794.6779
2026-08-174.67804.6780
2026-08-144.63044.6304
2026-08-134.64244.6424
2026-08-124.69664.6966
2026-08-114.68144.6814
2026-08-104.69434.6943
2026-08-074.67444.6744
2026-08-064.67014.6701
2026-08-054.68764.6876
2026-08-044.65854.6585
2026-08-034.65344.6534
2026-07-314.63994.6399
2026-07-304.59324.5932
2026-07-294.60654.6065
2026-07-284.53414.5341
2026-07-274.55864.5586
2026-07-244.48874.4887
2026-07-234.54954.5495
2026-07-224.52634.5263
2026-07-214.54144.5414
2026-07-204.50044.5004
2026-07-174.48964.4896
2026-07-164.59754.5975
2026-07-154.60064.6006
2026-07-144.59244.5924
2026-07-134.56874.5687
2026-07-104.65124.6512
2026-07-094.65654.6565
2026-07-084.63184.6318
2026-07-074.62924.6292
2026-07-064.67574.6757
2026-07-034.67754.6775
2026-07-024.66264.6626
2026-07-014.69214.6921
2026-06-304.66534.6653
2026-06-294.60084.6008