银华尊和养老2035三年持有混合(FOF)Y
(017273.jj )
基金经理漆升筑基金类型FOF(养老目标基金)成立日期2022-11-11总资产规模3,264.11万 (2026-06-30) 基金净值1.5225 (2026-07-21) 管理费用率0.45%管托费用率0.10% (2023-07-21) 成立以来分红再投入年化收益率3.20% (746 / 1570)
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银华尊和养老2035三年持有混合(FOF)Y(017273) - 历史基金累计净值数据曲线

最后更新于:2026-07-21

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银华尊和养老2035三年持有混合(FOF)Y历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-211.52251.5225
2026-07-201.52471.5247
2026-07-171.51371.5137
2026-07-161.52511.5251
2026-07-151.53181.5318
2026-07-141.53161.5316
2026-07-131.53121.5312
2026-07-101.54941.5494
2026-07-091.56011.5601
2026-07-081.54511.5451
2026-07-071.54231.5423
2026-07-061.54811.5481
2026-07-031.55461.5546
2026-07-021.54781.5478
2026-07-011.58701.5870
2026-06-301.60211.6021
2026-06-291.58391.5839
2026-06-261.57141.5714
2026-06-251.58811.5881
2026-06-241.56861.5686
2026-06-231.55711.5571
2026-06-221.57471.5747
2026-06-161.56821.5682
2026-06-151.57031.5703
2026-06-121.56321.5632
2026-06-111.56041.5604
2026-06-101.56071.5607
2026-06-091.57431.5743
2026-06-081.56301.5630
2026-06-051.57801.5780
2026-06-041.59461.5946
2026-06-031.60191.6019
2026-06-021.59961.5996
2026-06-011.59621.5962
2026-05-291.59511.5951
2026-05-281.59951.5995
2026-05-271.59931.5993
2026-05-261.59741.5974
2026-05-251.60111.6011
2026-05-221.57851.5785
2026-05-211.56221.5622
2026-05-201.57001.5700
2026-05-191.56431.5643
2026-05-181.56311.5631
2026-05-151.56841.5684
2026-05-141.58151.5815
2026-05-131.59631.5963
2026-05-121.57691.5769
2026-05-111.58291.5829
2026-05-081.55531.5553