申万菱信乐成混合A
(017063.jj ) 申万菱信基金管理有限公司
基金类型混合型成立日期2023-03-23总资产规模9,608.57万 (2025-12-31) 基金净值0.7684 (2026-04-03) 基金经理付娟高付管理费用率1.20%管托费用率0.20% (2026-03-23) 持仓换手率10.20倍 (2025-06-30) 成立以来分红再投入年化收益率-8.33% (8668 / 9093)
备注 (0): 双击编辑备注
发表讨论

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:2026-04-03

数据选项
加载中......
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
2026-04-030.76840.7684
2026-04-020.77160.7716
2026-04-010.78200.7820
2026-03-310.76350.7635
2026-03-300.77330.7733
2026-03-270.77640.7764
2026-03-260.77020.7702
2026-03-250.77620.7762
2026-03-240.76380.7638
2026-03-230.75220.7522
2026-03-200.78490.7849
2026-03-190.79800.7980
2026-03-180.82930.8293
2026-03-170.82130.8213
2026-03-160.83390.8339
2026-03-130.83980.8398
2026-03-120.85820.8582
2026-03-110.87380.8738
2026-03-100.88780.8878
2026-03-090.85060.8506
2026-03-060.87330.8733
2026-03-050.86340.8634
2026-03-040.85290.8529
2026-03-030.87150.8715
2026-03-020.90840.9084
2026-02-270.92470.9247
2026-02-260.93590.9359
2026-02-250.93120.9312
2026-02-240.92010.9201
2026-02-130.94130.9413
2026-02-120.95790.9579
2026-02-110.94570.9457
2026-02-100.96510.9651
2026-02-090.95770.9577
2026-02-060.94070.9407
2026-02-050.91450.9145
2026-02-040.91990.9199
2026-02-030.91100.9110
2026-02-020.88400.8840
2026-01-300.89950.8995
2026-01-290.88720.8872
2026-01-280.92390.9239
2026-01-270.94040.9404
2026-01-260.93450.9345
2026-01-230.98130.9813
2026-01-220.98440.9844
2026-01-210.99420.9942
2026-01-200.97410.9741
2026-01-190.98290.9829
2026-01-160.96680.9668