前海开源黄金ETF联接C
(021740.jj )
基金类型指数型基金(ETF,联接型)成立日期2024-06-19总资产规模6.52亿 (2025-09-30) 基金净值2.2488 (2025-12-31) 基金经理梁溥森孔芳管理费用率0.50%管托费用率0.10% (2025-12-10) 成立以来分红再投入年化收益率42.48% (6 / 58)
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前海开源黄金ETF联接C(021740) - 历史基金净值数据曲线

最后更新于:2025-12-31

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前海开源黄金ETF联接C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-312.24882.2488
2025-12-302.26432.2643
2025-12-292.31572.3157
2025-12-262.32252.3225
2025-12-252.31252.3125
2025-12-242.32402.3240
2025-12-232.32152.3215
2025-12-222.28762.2876
2025-12-192.24912.2491
2025-12-182.24942.2494
2025-12-172.24322.2432
2025-12-162.22582.2258
2025-12-152.25272.2527
2025-12-122.22362.2236
2025-12-112.19722.1972
2025-12-102.19362.1936
2025-12-092.18512.1851
2025-12-082.20092.2009
2025-12-052.20612.2061
2025-12-042.19042.1904
2025-12-032.19252.1925
2025-12-022.20342.2034
2025-12-012.21132.2113
2025-11-282.18782.1878
2025-11-272.17802.1780
2025-11-262.17232.1723
2025-11-252.17262.1726
2025-11-242.13712.1371
2025-11-212.13442.1344
2025-11-202.14712.1471
2025-11-192.15812.1581
2025-11-182.11762.1176
2025-11-172.14962.1496
2025-11-142.18972.1897
2025-11-132.21352.2135
2025-11-122.18132.1813
2025-11-112.18572.1857
2025-11-102.15712.1571
2025-11-072.11952.1195
2025-11-062.11882.1188
2025-11-052.10102.1010
2025-11-042.11582.1158
2025-11-032.12372.1237
2025-10-312.12702.1270
2025-10-302.09432.0943
2025-10-292.10722.1072
2025-10-282.07242.0724
2025-10-272.15072.1507
2025-10-242.16252.1625
2025-10-232.17342.1734