银华富久食品饮料精选混合(LOF)C
(013027.jj ) 银华基金管理股份有限公司
基金经理王丽敏基金类型混合型(LOF)成立日期2021-09-03总资产规模4,780.20万 (2026-03-31) 基金净值0.4462 (2026-07-17) 管理费用率1.20%管托费用率0.20% (2026-03-12) 成立以来分红再投入年化收益率-15.27% (9070 / 9305)
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银华富久食品饮料精选混合(LOF)C(013027) - 历史基金净值数据曲线

最后更新于:2026-07-17

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银华富久食品饮料精选混合(LOF)C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-170.44620.4462
2026-07-160.45610.4561
2026-07-150.45070.4507
2026-07-140.43910.4391
2026-07-130.43680.4368
2026-07-100.43820.4382
2026-07-090.43670.4367
2026-07-080.43960.4396
2026-07-070.44330.4433
2026-07-060.44900.4490
2026-07-030.44660.4466
2026-07-020.44740.4474
2026-07-010.44900.4490
2026-06-300.44380.4438
2026-06-290.44880.4488
2026-06-260.44490.4449
2026-06-250.45250.4525
2026-06-240.44670.4467
2026-06-230.44620.4462
2026-06-220.45210.4521
2026-06-180.44730.4473
2026-06-170.45320.4532
2026-06-160.45610.4561
2026-06-150.46270.4627
2026-06-120.46150.4615
2026-06-110.45750.4575
2026-06-100.45780.4578
2026-06-090.45390.4539
2026-06-080.45720.4572
2026-06-050.46200.4620
2026-06-040.46270.4627
2026-06-030.46970.4697
2026-06-020.47560.4756
2026-06-010.48360.4836
2026-05-290.48120.4812
2026-05-280.47650.4765
2026-05-270.48040.4804
2026-05-260.48080.4808
2026-05-250.48040.4804
2026-05-220.48110.4811
2026-05-210.48560.4856
2026-05-200.49020.4902
2026-05-190.49060.4906
2026-05-180.48840.4884
2026-05-150.49680.4968
2026-05-140.50520.5052
2026-05-130.50280.5028
2026-05-120.50870.5087
2026-05-110.51960.5196
2026-05-080.51940.5194