鑫元清洁能源混合发起式A
(014574.jj ) 鑫元基金管理有限公司
基金经理陈立基金类型混合型成立日期2022-01-26总资产规模3,107.26万 (2026-06-30) 基金净值0.5094 (2026-07-24) 管理费用率1.20%管托费用率0.20% (2026-06-27) 成立以来分红再投入年化收益率-13.94% (9048 / 9321)
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鑫元清洁能源混合发起式A(014574) - 历史基金净值数据曲线

最后更新于:2026-07-24

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鑫元清洁能源混合发起式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
2026-07-240.50940.5094
2026-07-230.52260.5226
2026-07-220.51350.5135
2026-07-210.51920.5192
2026-07-200.50230.5023
2026-07-170.52050.5205
2026-07-160.54430.5443
2026-07-150.56000.5600
2026-07-140.57370.5737
2026-07-130.56020.5602
2026-07-100.57940.5794
2026-07-090.59120.5912
2026-07-080.58680.5868
2026-07-070.60540.6054
2026-07-060.61380.6138
2026-07-030.61860.6186
2026-07-020.61670.6167
2026-07-010.63960.6396
2026-06-300.65490.6549
2026-06-290.63690.6369
2026-06-260.64550.6455
2026-06-250.67730.6773
2026-06-240.67580.6758
2026-06-230.65310.6531
2026-06-220.68420.6842
2026-06-180.66770.6677
2026-06-170.67300.6730
2026-06-160.67260.6726
2026-06-150.66360.6636
2026-06-120.64410.6441
2026-06-110.63910.6391
2026-06-100.63480.6348
2026-06-090.66020.6602
2026-06-080.63840.6384
2026-06-050.65910.6591
2026-06-040.67550.6755
2026-06-030.67680.6768
2026-06-020.67440.6744
2026-06-010.66600.6660
2026-05-290.67660.6766
2026-05-280.70190.7019
2026-05-270.69650.6965
2026-05-260.68560.6856
2026-05-250.68930.6893
2026-05-220.68540.6854
2026-05-210.67630.6763
2026-05-200.70650.7065
2026-05-190.70100.7010
2026-05-180.69460.6946
2026-05-150.68260.6826