景顺长城上证科创板综合价格ETF联接 A
(023723.jj ) 景顺长城基金管理有限公司
基金经理何音基金类型指数型基金(ETF,联接型)成立日期2025-04-03总资产规模2,319.72万 (2026-03-31) 基金净值1.7244 (2026-07-16) 管理费用率0.15%管托费用率0.05% (2026-04-15) 持仓换手率36.30% (2025-12-31) 成立以来分红再投入年化收益率52.96% (257 / 6108)
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景顺长城上证科创板综合价格ETF联接 A(023723) - 历史基金净值数据曲线

最后更新于:2026-07-16

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景顺长城上证科创板综合价格ETF联接 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
2026-07-161.72441.7244
2026-07-151.78121.7812
2026-07-141.83851.8385
2026-07-131.82581.8258
2026-07-101.90411.9041
2026-07-091.98581.9858
2026-07-081.87041.8704
2026-07-071.87781.8778
2026-07-061.88201.8820
2026-07-031.89631.8963
2026-07-021.90251.9025
2026-07-012.00692.0069
2026-06-302.03182.0318
2026-06-291.95361.9536
2026-06-261.89891.8989
2026-06-251.93591.9359
2026-06-241.89931.8993
2026-06-231.84831.8483
2026-06-221.87151.8715
2026-06-181.86371.8637
2026-06-171.80811.8081
2026-06-161.75611.7561
2026-06-151.73571.7357
2026-06-121.66101.6610
2026-06-111.66451.6645
2026-06-101.64941.6494
2026-06-091.66171.6617
2026-06-081.60471.6047
2026-06-051.65861.6586
2026-06-041.69651.6965
2026-06-031.68561.6856
2026-06-021.65441.6544
2026-06-011.63511.6351
2026-05-291.69381.6938
2026-05-281.77271.7727
2026-05-271.74461.7446
2026-05-261.78241.7824
2026-05-251.80251.8025
2026-05-221.75361.7536
2026-05-211.72321.7232
2026-05-201.79681.7968
2026-05-191.75991.7599
2026-05-181.71781.7178
2026-05-151.70251.7025
2026-05-141.72231.7223
2026-05-131.76151.7615
2026-05-121.72991.7299
2026-05-111.72901.7290
2026-05-081.67551.6755
2026-05-071.69511.6951