东方阿尔法招阳混合E
(017889.jj ) 东方阿尔法基金管理有限公司
基金类型混合型成立日期2023-02-28总资产规模8,348.10万 (2025-09-30) 基金净值0.4586 (2025-12-31) 基金经理潘令梓管理费用率1.20%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率-24.05% (8985 / 8987)
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东方阿尔法招阳混合E(017889) - 历史基金净值数据曲线

最后更新于:2025-12-31

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东方阿尔法招阳混合E历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-310.45860.4586
2025-12-300.45060.4506
2025-12-290.45430.4543
2025-12-260.45240.4524
2025-12-250.45230.4523
2025-12-240.43980.4398
2025-12-230.42820.4282
2025-12-220.43070.4307
2025-12-190.42680.4268
2025-12-180.42060.4206
2025-12-170.42000.4200
2025-12-160.41860.4186
2025-12-150.42490.4249
2025-12-120.42050.4205
2025-12-110.41420.4142
2025-12-100.41690.4169
2025-12-090.41360.4136
2025-12-080.41800.4180
2025-12-050.41660.4166
2025-12-040.40750.4075
2025-12-030.40340.4034
2025-12-020.41030.4103
2025-12-010.41590.4159
2025-11-280.41400.4140
2025-11-270.40900.4090
2025-11-260.41000.4100
2025-11-250.42090.4209
2025-11-240.42620.4262
2025-11-210.40760.4076
2025-11-200.41450.4145
2025-11-190.42500.4250
2025-11-180.41890.4189
2025-11-170.42720.4272
2025-11-140.42200.4220
2025-11-130.42080.4208
2025-11-120.41660.4166
2025-11-110.41940.4194
2025-11-100.42610.4261
2025-11-070.42780.4278
2025-11-060.43320.4332
2025-11-050.42980.4298
2025-11-040.43000.4300
2025-11-030.43730.4373
2025-10-310.43660.4366
2025-10-300.44090.4409
2025-10-290.45040.4504
2025-10-280.44650.4465
2025-10-270.43940.4394
2025-10-240.43430.4343
2025-10-230.42650.4265