银华集成电路混合C
(013841.jj )
基金经理方建基金类型混合型成立日期2021-12-08总资产规模199.41亿 (2026-06-30) 基金净值3.0434 (2026-09-17) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率26.25% (388 / 9458)
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银华集成电路混合C(013841) - 历史基金净值数据曲线

最后更新于:2026-09-17

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银华集成电路混合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
2026-09-173.04343.0434
2026-09-163.02723.0272
2026-09-152.87932.8793
2026-09-142.79442.7944
2026-09-112.83412.8341
2026-09-102.88012.8801
2026-09-092.88712.8871
2026-09-082.91032.9103
2026-09-072.96392.9639
2026-09-042.85652.8565
2026-09-032.96542.9654
2026-09-022.99952.9995
2026-09-013.04473.0447
2026-08-313.17753.1775
2026-08-283.17153.1715
2026-08-273.25303.2530
2026-08-263.16453.1645
2026-08-253.07803.0780
2026-08-243.13793.1379
2026-08-213.17933.1793
2026-08-203.18923.1892
2026-08-193.16273.1627
2026-08-183.40933.4093
2026-08-173.36783.3678
2026-08-143.18873.1887
2026-08-133.20833.2083
2026-08-123.26803.2680
2026-08-113.18143.1814
2026-08-103.26923.2692
2026-08-073.18083.1808
2026-08-063.08373.0837
2026-08-053.06523.0652
2026-08-042.83662.8366
2026-08-032.70672.7067
2026-07-312.95362.9536
2026-07-302.88532.8853
2026-07-293.10193.1019
2026-07-283.14913.1491
2026-07-273.34283.3428
2026-07-243.27203.2720
2026-07-233.18363.1836
2026-07-223.34953.3495
2026-07-213.41503.4150
2026-07-202.92992.9299
2026-07-173.04183.0418
2026-07-163.27973.2797
2026-07-153.48293.4829
2026-07-143.61363.6136
2026-07-133.62523.6252
2026-07-103.73863.7386