申万菱信乐成混合A
(017063.jj ) 申万菱信基金管理有限公司
基金经理高付基金类型混合型成立日期2023-03-23总资产规模5,686.70万 (2026-06-30) 基金净值0.7861 (2026-07-28) 管理费用率1.20%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率-6.94% (8453 / 9327)
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申万菱信乐成混合A(017063) - 历史基金净值数据曲线

最后更新于:2026-07-28

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申万菱信乐成混合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
2026-07-280.78610.7861
2026-07-270.79190.7919
2026-07-240.76340.7634
2026-07-230.78240.7824
2026-07-220.77200.7720
2026-07-210.77590.7759
2026-07-200.76420.7642
2026-07-170.75370.7537
2026-07-160.78150.7815
2026-07-150.77540.7754
2026-07-140.76700.7670
2026-07-130.76580.7658
2026-07-100.77260.7726
2026-07-090.76390.7639
2026-07-080.76560.7656
2026-07-070.75680.7568
2026-07-060.76620.7662
2026-07-020.75570.7557
2026-07-010.75090.7509
2026-06-300.73140.7314
2026-06-290.72360.7236
2026-06-260.71230.7123
2026-06-250.72980.7298
2026-06-240.72370.7237
2026-06-230.72340.7234
2026-06-220.72810.7281
2026-06-180.72890.7289
2026-06-170.74170.7417
2026-06-160.74540.7454
2026-06-150.75620.7562
2026-06-120.75230.7523
2026-06-110.74270.7427
2026-06-100.75010.7501
2026-06-090.75130.7513
2026-06-080.74680.7468
2026-06-050.75580.7558
2026-06-040.75560.7556
2026-06-030.76870.7687
2026-06-020.77760.7776
2026-06-010.77860.7786
2026-05-290.76930.7693
2026-05-280.77890.7789
2026-05-270.78480.7848
2026-05-260.79910.7991
2026-05-250.80600.8060
2026-05-220.80260.8026
2026-05-210.80190.8019
2026-05-200.82040.8204
2026-05-190.82210.8221
2026-05-180.81540.8154