银华新锐成长混合A
(013842.jj ) 银华基金管理股份有限公司
基金经理施航基金类型混合型成立日期2022-03-31总资产规模1.94亿 (2026-06-30) 基金净值1.8261 (2026-07-27) 管理费用率1.20%管托费用率0.20% (2026-06-08) 持仓换手率107.83% (2025-12-31) 成立以来分红再投入年化收益率14.95% (1241 / 9323)
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银华新锐成长混合A(013842) - 历史基金累计净值数据曲线

最后更新于:2026-07-27

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银华新锐成长混合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
2026-07-271.82611.8261
2026-07-241.79091.7909
2026-07-231.78131.7813
2026-07-221.82331.8233
2026-07-211.84471.8447
2026-07-201.67191.6719
2026-07-171.69171.6917
2026-07-161.80851.8085
2026-07-151.90571.9057
2026-07-141.95921.9592
2026-07-131.92811.9281
2026-07-101.99951.9995
2026-07-092.12662.1266
2026-07-082.00462.0046
2026-07-071.97181.9718
2026-07-061.99031.9903
2026-07-031.99691.9969
2026-07-022.01802.0180
2026-07-012.22532.2253
2026-06-302.25832.2583
2026-06-292.16092.1609
2026-06-262.06302.0630
2026-06-252.07532.0753
2026-06-241.99401.9940
2026-06-231.88581.8858
2026-06-221.91381.9138
2026-06-181.87561.8756
2026-06-171.82131.8213
2026-06-161.75051.7505
2026-06-151.76961.7696
2026-06-121.68381.6838
2026-06-111.66611.6661
2026-06-101.63331.6333
2026-06-091.62821.6282
2026-06-081.57501.5750
2026-06-051.63391.6339
2026-06-041.69041.6904
2026-06-031.67581.6758
2026-06-021.65141.6514
2026-06-011.63101.6310
2026-05-291.68181.6818
2026-05-281.75491.7549
2026-05-271.75101.7510
2026-05-261.79891.7989
2026-05-251.79231.7923
2026-05-221.74041.7404
2026-05-211.71771.7177
2026-05-201.76751.7675
2026-05-191.69681.6968
2026-05-181.66311.6631