华商核心引力混合A
(012491.jj ) 华商基金管理有限公司
基金类型混合型成立日期2021-07-28总资产规模2.91亿 (2025-09-30) 基金净值1.3309 (2025-12-25) 基金经理叶峰管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率527.36% (2025-06-30) 成立以来分红再投入年化收益率6.70% (3479 / 8947)
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华商核心引力混合A(012491) - 历史基金净值数据曲线

最后更新于:2025-12-25

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华商核心引力混合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
2025-12-251.33091.3309
2025-12-241.32881.3288
2025-12-231.31041.3104
2025-12-221.30241.3024
2025-12-191.27141.2714
2025-12-181.26161.2616
2025-12-171.28451.2845
2025-12-161.24981.2498
2025-12-151.26871.2687
2025-12-121.28591.2859
2025-12-111.27371.2737
2025-12-101.29051.2905
2025-12-091.29361.2936
2025-12-081.29751.2975
2025-12-051.28151.2815
2025-12-041.27091.2709
2025-12-031.27211.2721
2025-12-021.28821.2882
2025-12-011.29711.2971
2025-11-281.29851.2985
2025-11-271.28701.2870
2025-11-261.28191.2819
2025-11-251.27461.2746
2025-11-241.25251.2525
2025-11-211.25001.2500
2025-11-201.31191.3119
2025-11-191.33241.3324
2025-11-181.32991.3299
2025-11-171.37071.3707
2025-11-141.37671.3767
2025-11-131.40701.4070
2025-11-121.35621.3562
2025-11-111.36371.3637
2025-11-101.36761.3676
2025-11-071.36421.3642
2025-11-061.35391.3539
2025-11-051.32301.3230
2025-11-041.29161.2916
2025-11-031.33031.3303
2025-10-311.31091.3109
2025-10-301.32001.3200
2025-10-291.32101.3210
2025-10-281.28931.2893
2025-10-271.30401.3040
2025-10-241.26161.2616
2025-10-231.21651.2165
2025-10-221.22231.2223
2025-10-211.23731.2373
2025-10-201.21921.2192
2025-10-171.21941.2194