东吴消费成长混合A
(012971.jj ) 东吴基金管理有限公司
基金经理赵梅玲基金类型混合型成立日期2021-09-14总资产规模2,795.82万 (2026-06-30) 基金净值0.6038 (2026-09-04) 管理费用率1.20%管托费用率0.20% (2026-06-30) 持仓换手率884.06% (2026-06-30) 成立以来分红再投入年化收益率-9.65% (8965 / 9435)
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东吴消费成长混合A(012971) - 历史基金净值数据曲线

最后更新于:2026-09-04

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东吴消费成长混合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
2026-09-040.60380.6038
2026-09-030.59760.5976
2026-09-020.59660.5966
2026-09-010.59990.5999
2026-08-310.60050.6005
2026-08-280.60360.6036
2026-08-270.60660.6066
2026-08-260.60700.6070
2026-08-250.59480.5948
2026-08-240.58920.5892
2026-08-210.60650.6065
2026-08-200.60210.6021
2026-08-190.60140.6014
2026-08-180.62440.6244
2026-08-170.62110.6211
2026-08-140.61170.6117
2026-08-130.61200.6120
2026-08-120.61950.6195
2026-08-110.61980.6198
2026-08-100.61700.6170
2026-08-070.62190.6219
2026-08-060.61730.6173
2026-08-050.62360.6236
2026-08-040.62020.6202
2026-08-030.61480.6148
2026-07-310.61540.6154
2026-07-300.60960.6096
2026-07-290.62380.6238
2026-07-280.62100.6210
2026-07-270.63910.6391
2026-07-240.63180.6318
2026-07-230.64280.6428
2026-07-220.65410.6541
2026-07-210.66880.6688
2026-07-200.63940.6394
2026-07-170.63180.6318
2026-07-160.67130.6713
2026-07-150.67260.6726
2026-07-140.67500.6750
2026-07-130.66780.6678
2026-07-100.67980.6798
2026-07-090.69250.6925
2026-07-080.68150.6815
2026-07-070.68270.6827
2026-07-060.68130.6813
2026-07-030.67650.6765
2026-07-020.65660.6566
2026-07-010.66660.6666
2026-06-300.67050.6705
2026-06-290.65530.6553