银华鑫利一年持有期混合
(012370.jj ) 银华基金管理股份有限公司
基金经理胡银玉基金类型混合型成立日期2021-07-23总资产规模2.60亿 (2026-06-30) 基金净值0.9802 (2026-07-24) 管理费用率1.20%管托费用率0.20% (2025-12-31) 持仓换手率411.01% (2025-12-31) 成立以来分红再投入年化收益率-0.40% (7112 / 9314)
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银华鑫利一年持有期混合(012370) - 历史基金累计净值数据曲线

最后更新于:2026-07-24

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银华鑫利一年持有期混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-240.98020.9802
2026-07-230.99070.9907
2026-07-220.98580.9858
2026-07-210.98060.9806
2026-07-200.98320.9832
2026-07-170.96470.9647
2026-07-160.96740.9674
2026-07-150.97380.9738
2026-07-140.96720.9672
2026-07-130.95980.9598
2026-07-100.96130.9613
2026-07-090.96390.9639
2026-07-080.95970.9597
2026-07-070.96090.9609
2026-07-060.96960.9696
2026-07-030.96340.9634
2026-07-020.96220.9622
2026-07-010.96370.9637
2026-06-300.95200.9520
2026-06-290.95880.9588
2026-06-260.94990.9499
2026-06-250.96200.9620
2026-06-240.96140.9614
2026-06-230.96850.9685
2026-06-220.97430.9743
2026-06-180.95670.9567
2026-06-170.97500.9750
2026-06-160.97560.9756
2026-06-150.98470.9847
2026-06-120.98440.9844
2026-06-110.97350.9735
2026-06-100.97570.9757
2026-06-090.97410.9741
2026-06-080.97230.9723
2026-06-050.97820.9782
2026-06-040.97900.9790
2026-06-030.98730.9873
2026-06-020.98770.9877
2026-06-010.98520.9852
2026-05-290.97690.9769
2026-05-280.96950.9695
2026-05-270.97540.9754
2026-05-260.98020.9802
2026-05-250.97440.9744
2026-05-220.97070.9707
2026-05-210.97050.9705
2026-05-200.97760.9776
2026-05-190.98460.9846
2026-05-180.98020.9802
2026-05-150.98710.9871