湘财均衡甄选混合A
(018930.jj ) 湘财基金管理有限公司
基金经理包佳敏刘骜飞基金类型混合型成立日期2023-09-21总资产规模1,085.75万 (2026-03-31) 基金净值0.7841 (2026-06-02) 管理费用率1.20%管托费用率0.20% (2026-05-25) 持仓换手率133.82% (2025-06-30) 成立以来分红再投入年化收益率-8.62% (8845 / 9205)
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湘财均衡甄选混合A(018930) - 历史基金净值数据曲线

最后更新于:2026-06-02

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湘财均衡甄选混合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
2026-06-020.78410.7841
2026-06-010.79320.7932
2026-05-290.78140.7814
2026-05-280.77090.7709
2026-05-270.77090.7709
2026-05-260.77890.7789
2026-05-250.78180.7818
2026-05-220.78720.7872
2026-05-210.78970.7897
2026-05-200.80390.8039
2026-05-190.80920.8092
2026-05-180.80740.8074
2026-05-150.81530.8153
2026-05-140.81730.8173
2026-05-130.82900.8290
2026-05-120.82710.8271
2026-05-110.83770.8377
2026-05-080.83780.8378
2026-05-070.83630.8363
2026-05-060.83040.8304
2026-04-300.82290.8229
2026-04-290.83360.8336
2026-04-280.81440.8144
2026-04-270.82440.8244
2026-04-240.82470.8247
2026-04-230.83100.8310
2026-04-220.82770.8277
2026-04-210.83150.8315
2026-04-200.83000.8300
2026-04-170.82460.8246
2026-04-160.82970.8297
2026-04-150.81470.8147
2026-04-140.81420.8142
2026-04-130.81160.8116
2026-04-100.81440.8144
2026-04-090.80270.8027
2026-04-080.81030.8103
2026-04-070.78540.7854
2026-04-030.77950.7795
2026-04-020.79260.7926
2026-04-010.79920.7992
2026-03-310.78130.7813
2026-03-300.78840.7884
2026-03-270.78740.7874
2026-03-260.78070.7807
2026-03-250.78850.7885
2026-03-240.77940.7794
2026-03-230.76030.7603
2026-03-200.79450.7945
2026-03-190.80480.8048