湘财周期轮动一年持有期混合
(013623.jj ) 湘财基金管理有限公司
基金类型混合型成立日期2021-11-04总资产规模2.12亿 (2025-12-31) 基金净值0.9658 (2026-02-27) 基金经理包佳敏管理费用率1.20%管托费用率0.20% (2026-01-21) 持仓换手率241.41% (2025-06-30) 成立以来分红再投入年化收益率-0.80% (7783 / 9025)
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湘财周期轮动一年持有期混合(013623) - 历史基金净值数据曲线

最后更新于:2026-02-27

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湘财周期轮动一年持有期混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-270.96580.9658
2026-02-260.95210.9521
2026-02-250.95180.9518
2026-02-240.94720.9472
2026-02-130.93530.9353
2026-02-120.94880.9488
2026-02-110.94950.9495
2026-02-100.94320.9432
2026-02-090.94350.9435
2026-02-060.93920.9392
2026-02-050.94380.9438
2026-02-040.95070.9507
2026-02-030.92970.9297
2026-02-020.92190.9219
2026-01-300.95090.9509
2026-01-290.96350.9635
2026-01-280.95590.9559
2026-01-270.93970.9397
2026-01-260.95030.9503
2026-01-230.93670.9367
2026-01-220.93590.9359
2026-01-210.93350.9335
2026-01-200.93570.9357
2026-01-190.92620.9262
2026-01-160.91820.9182
2026-01-150.92780.9278
2026-01-140.92880.9288
2026-01-130.93300.9330
2026-01-120.93230.9323
2026-01-090.93100.9310
2026-01-080.92640.9264
2026-01-070.92350.9235
2026-01-060.91880.9188
2026-01-050.90740.9074
2025-12-310.90480.9048
2025-12-300.90140.9014
2025-12-290.90240.9024
2025-12-260.90120.9012
2025-12-250.89960.8996
2025-12-240.89960.8996
2025-12-230.90160.9016
2025-12-220.90230.9023
2025-12-190.90080.9008
2025-12-180.89940.8994
2025-12-170.89540.8954
2025-12-160.88940.8894
2025-12-150.89460.8946
2025-12-120.89130.8913
2025-12-110.88790.8879
2025-12-100.89040.8904