博道盛兴一年持有期混合
(013693.jj ) 博道基金管理有限公司
基金经理张建胜基金类型混合型成立日期2022-03-08总资产规模5,909.95万 (2026-03-31) 基金净值1.6094 (2026-07-17) 管理费用率1.20%管托费用率0.20% (2025-11-21) 成立以来分红再投入年化收益率11.53% (1696 / 9305)
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博道盛兴一年持有期混合(013693) - 历史基金累计净值数据曲线

最后更新于:2026-07-17

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博道盛兴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
2026-07-171.60941.6094
2026-07-161.68251.6825
2026-07-151.72061.7206
2026-07-141.72861.7286
2026-07-131.69671.6967
2026-07-101.74191.7419
2026-07-091.77951.7795
2026-07-081.76161.7616
2026-07-071.78431.7843
2026-07-061.83151.8315
2026-07-031.80771.8077
2026-07-021.80901.8090
2026-07-011.85501.8550
2026-06-301.84531.8453
2026-06-291.82071.8207
2026-06-261.79361.7936
2026-06-251.85751.8575
2026-06-241.83761.8376
2026-06-231.80161.8016
2026-06-221.85511.8551
2026-06-181.81231.8123
2026-06-171.82871.8287
2026-06-161.82571.8257
2026-06-151.83531.8353
2026-06-121.79921.7992
2026-06-111.77801.7780
2026-06-101.78801.7880
2026-06-091.80421.8042
2026-06-081.77741.7774
2026-06-051.82551.8255
2026-06-041.86251.8625
2026-06-031.86541.8654
2026-06-021.86201.8620
2026-06-011.82941.8294
2026-05-291.83731.8373
2026-05-281.86981.8698
2026-05-271.86771.8677
2026-05-261.88471.8847
2026-05-251.87631.8763
2026-05-221.87091.8709
2026-05-211.83941.8394
2026-05-201.86731.8673
2026-05-191.85161.8516
2026-05-181.83621.8362
2026-05-151.84741.8474
2026-05-141.85871.8587
2026-05-131.88181.8818
2026-05-121.87281.8728
2026-05-111.88661.8866
2026-05-081.86691.8669