东兴宸祥量化混合C
(013167.jj ) 东兴基金管理有限公司
基金类型混合型成立日期2022-01-28总资产规模6,691.97万 (2025-12-31) 基金净值1.5516 (2026-02-11) 基金经理李兵伟管理费用率1.20%管托费用率0.10% (2025-11-21) 成立以来分红再投入年化收益率11.49% (2215 / 9093)
备注 (0): 双击编辑备注
发表讨论

东兴宸祥量化混合C(013167) - 历史基金净值数据曲线

最后更新于:2026-02-11

数据选项
加载中......
东兴宸祥量化混合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
2026-02-111.55161.5516
2026-02-101.54681.5468
2026-02-091.54611.5461
2026-02-061.52791.5279
2026-02-051.52401.5240
2026-02-041.53691.5369
2026-02-031.53981.5398
2026-02-021.51131.5113
2026-01-301.55291.5529
2026-01-291.54911.5491
2026-01-281.57131.5713
2026-01-271.58261.5826
2026-01-261.58051.5805
2026-01-231.59901.5990
2026-01-221.57981.5798
2026-01-211.57611.5761
2026-01-201.55671.5567
2026-01-191.55731.5573
2026-01-161.54091.5409
2026-01-151.53551.5355
2026-01-141.52691.5269
2026-01-131.51201.5120
2026-01-121.52501.5250
2026-01-091.49961.4996
2026-01-081.48101.4810
2026-01-071.47681.4768
2026-01-061.47261.4726
2026-01-051.45821.4582
2025-12-311.42461.4246
2025-12-301.42511.4251
2025-12-291.42661.4266
2025-12-261.43211.4321
2025-12-251.43681.4368
2025-12-241.42381.4238
2025-12-231.40791.4079
2025-12-221.41091.4109
2025-12-191.40361.4036
2025-12-181.38861.3886
2025-12-171.37391.3739
2025-12-161.36191.3619
2025-12-151.38831.3883
2025-12-121.39131.3913
2025-12-111.38861.3886
2025-12-101.41031.4103
2025-12-091.41671.4167
2025-12-081.42371.4237
2025-12-051.40671.4067
2025-12-041.39281.3928
2025-12-031.40381.4038
2025-12-021.40701.4070