华安锐进积极配置一年持有混合(FOF)
(016980.jj )
基金类型FOF成立日期2023-04-04总资产规模6,434.41万 (2025-12-31) 基金净值1.2363 (2026-01-21) 基金经理袁冠群陆靖昶管理费用率1.00%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率7.88% (411 / 1354)
备注 (0): 双击编辑备注
发表讨论

华安锐进积极配置一年持有混合(FOF)(016980) - 历史基金净值数据曲线

最后更新于:2026-01-21

数据选项
加载中......
华安锐进积极配置一年持有混合(FOF)历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-211.23631.2363
2026-01-201.22491.2249
2026-01-191.23011.2301
2026-01-161.22341.2234
2026-01-151.22051.2205
2026-01-141.21651.2165
2026-01-131.21231.2123
2026-01-121.21931.2193
2026-01-091.20971.2097
2026-01-081.20041.2004
2026-01-071.20641.2064
2026-01-061.20341.2034
2026-01-051.18901.1890
2025-12-291.17091.1709
2025-12-261.17381.1738
2025-12-251.17161.1716
2025-12-241.16741.1674
2025-12-231.16171.1617
2025-12-221.16001.1600
2025-12-191.15001.1500
2025-12-181.14431.1443
2025-12-171.14791.1479
2025-12-161.13211.1321
2025-12-151.14531.1453
2025-12-121.14851.1485
2025-12-111.14061.1406
2025-12-101.14971.1497
2025-12-091.14791.1479
2025-12-081.15641.1564
2025-12-051.15181.1518
2025-12-041.14221.1422
2025-12-031.14191.1419
2025-12-021.14501.1450
2025-12-011.14871.1487
2025-11-281.14201.1420
2025-11-271.13691.1369
2025-11-261.13611.1361
2025-11-251.13311.1331
2025-11-241.12311.1231
2025-11-211.11991.1199
2025-11-201.14341.1434
2025-11-191.14491.1449
2025-11-181.14451.1445
2025-11-171.15531.1553
2025-11-141.16081.1608
2025-11-131.17321.1732
2025-11-121.16461.1646
2025-11-111.16571.1657
2025-11-101.16841.1684
2025-11-071.16311.1631