国联景惠混合A
(013190.jj ) 国联基金管理有限公司
基金类型混合型成立日期2021-11-24总资产规模4,523.53万 (2025-12-31) 基金净值1.0833 (2026-02-06) 基金经理潘巍王玥管理费用率0.60%管托费用率0.20% (2025-11-21) 持仓换手率4.95% (2025-06-30) 成立以来分红再投入年化收益率1.92% (6478 / 9081)
备注 (0): 双击编辑备注
发表讨论

国联景惠混合A(013190) - 历史基金净值数据曲线

最后更新于:2026-02-06

数据选项
加载中......
国联景惠混合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
2026-02-061.08331.0833
2026-02-051.08341.0834
2026-02-041.08391.0839
2026-02-031.08191.0819
2026-02-021.07961.0796
2026-01-301.08211.0821
2026-01-291.08381.0838
2026-01-281.08211.0821
2026-01-271.08131.0813
2026-01-261.08161.0816
2026-01-231.08181.0818
2026-01-221.08081.0808
2026-01-211.08011.0801
2026-01-201.07971.0797
2026-01-191.07891.0789
2026-01-161.07821.0782
2026-01-151.07841.0784
2026-01-141.07861.0786
2026-01-131.07871.0787
2026-01-121.07941.0794
2026-01-091.07821.0782
2026-01-081.07731.0773
2026-01-071.07721.0772
2026-01-061.07741.0774
2026-01-051.07651.0765
2025-12-311.07571.0757
2025-12-301.07581.0758
2025-12-291.07571.0757
2025-12-261.07681.0768
2025-12-251.07631.0763
2025-12-241.07601.0760
2025-12-231.07601.0760
2025-12-221.07591.0759
2025-12-191.07551.0755
2025-12-181.07441.0744
2025-12-171.07351.0735
2025-12-161.07071.0707
2025-12-151.07141.0714
2025-12-121.07171.0717
2025-12-111.07061.0706
2025-12-101.06991.0699
2025-12-091.06931.0693
2025-12-081.07051.0705
2025-12-051.07111.0711
2025-12-041.07071.0707
2025-12-031.07271.0727
2025-12-021.07331.0733
2025-12-011.07391.0739
2025-11-281.07181.0718
2025-11-271.07111.0711