湘财均衡甄选混合A
(018930.jj ) 湘财基金管理有限公司
基金类型混合型成立日期2023-09-21总资产规模1,314.46万 (2025-12-31) 基金净值0.8821 (2026-02-25) 基金经理包佳敏管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率133.82% (2025-06-30) 成立以来分红再投入年化收益率-5.04% (8579 / 9067)
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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:2026-02-25

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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
2026-02-250.88210.8821
2026-02-240.88010.8801
2026-02-130.88520.8852
2026-02-120.89530.8953
2026-02-110.89860.8986
2026-02-100.89680.8968
2026-02-090.90320.9032
2026-02-060.89180.8918
2026-02-050.89820.8982
2026-02-040.89040.8904
2026-02-030.88970.8897
2026-02-020.87290.8729
2026-01-300.87900.8790
2026-01-290.88390.8839
2026-01-280.87420.8742
2026-01-270.87520.8752
2026-01-260.88580.8858
2026-01-230.89400.8940
2026-01-220.89020.8902
2026-01-210.89120.8912
2026-01-200.89140.8914
2026-01-190.89050.8905
2026-01-160.87570.8757
2026-01-150.88130.8813
2026-01-140.88300.8830
2026-01-130.88020.8802
2026-01-120.88750.8875
2026-01-090.87790.8779
2026-01-080.86950.8695
2026-01-070.86990.8699
2026-01-060.86930.8693
2026-01-050.86270.8627
2025-12-310.85810.8581
2025-12-300.85840.8584
2025-12-290.85930.8593
2025-12-260.86690.8669
2025-12-250.87190.8719
2025-12-240.86840.8684
2025-12-230.86890.8689
2025-12-220.87740.8774
2025-12-190.87880.8788
2025-12-180.86340.8634
2025-12-170.86350.8635
2025-12-160.85430.8543
2025-12-150.85410.8541
2025-12-120.85250.8525
2025-12-110.84980.8498
2025-12-100.85780.8578
2025-12-090.85550.8555
2025-12-080.85870.8587