兴业中证A500指数增强C
(022771.jj ) 中证A500 (半年) 兴业基金管理有限公司
基金类型指数型基金成立日期2025-01-24总资产规模494.02万 (2025-12-31) 基金净值1.2653 (2026-01-26) 基金经理楼华锋管理费用率0.80%管托费用率0.10% (2025-06-30) 成立以来分红再投入年化收益率26.37% (1044 / 5606)
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兴业中证A500指数增强C(022771) - 历史基金累计净值数据曲线

最后更新于:2026-01-26

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兴业中证A500指数增强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
2026-01-261.26531.2653
2026-01-231.26691.2669
2026-01-221.26481.2648
2026-01-211.26331.2633
2026-01-201.25671.2567
2026-01-191.25711.2571
2026-01-161.24971.2497
2026-01-151.24901.2490
2026-01-141.24291.2429
2026-01-131.24231.2423
2026-01-121.25211.2521
2026-01-091.23981.2398
2026-01-081.22961.2296
2026-01-071.23301.2330
2026-01-061.23891.2389
2026-01-051.22211.2221
2025-12-311.20161.2016
2025-12-301.20361.2036
2025-12-291.20121.2012
2025-12-261.20841.2084
2025-12-251.20381.2038
2025-12-241.20261.2026
2025-12-231.19141.1914
2025-12-221.18991.1899
2025-12-191.17751.1775
2025-12-181.17151.1715
2025-12-171.17571.1757
2025-12-161.15721.1572
2025-12-151.17001.1700
2025-12-121.17841.1784
2025-12-111.16881.1688
2025-12-101.18121.1812
2025-12-091.17691.1769
2025-12-081.18661.1866
2025-12-051.18191.1819
2025-12-041.17011.1701
2025-12-031.16851.1685
2025-12-021.17271.1727
2025-12-011.18041.1804
2025-11-281.16241.1624
2025-11-271.15621.1562
2025-11-261.15391.1539
2025-11-251.15051.1505
2025-11-241.13631.1363
2025-11-211.13261.1326
2025-11-201.16051.1605
2025-11-191.16591.1659
2025-11-181.16331.1633
2025-11-171.17491.1749
2025-11-141.18401.1840