嘉实研究精选混合
(070013.jj ) 嘉实基金管理有限公司
基金类型混合型成立日期2008-05-27总资产规模8.33亿 (2025-12-31) 基金净值1.3950 (2026-02-13) 基金经理肖觅张露管理费用率1.20%管托费用率0.20% (2025-12-11) 持仓换手率724.96% (2025-06-30) 成立以来分红再投入年化收益率7.62% (3532 / 9078)
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嘉实研究精选混合(070013) - 历史基金净值数据曲线

最后更新于:2026-02-13

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嘉实研究精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-131.39503.3610
2026-02-121.41103.3770
2026-02-111.40303.3690
2026-02-101.40303.3690
2026-02-091.40103.3670
2026-02-061.37503.3410
2026-02-051.37703.3430
2026-02-041.38803.3540
2026-02-031.38103.3470
2026-02-021.35703.3230
2026-01-301.39803.3640
2026-01-291.41203.3780
2026-01-281.41103.3770
2026-01-271.40103.3670
2026-01-261.39703.3630
2026-01-231.39703.3630
2026-01-221.40303.3690
2026-01-211.40003.3660
2026-01-201.39403.3600
2026-01-191.39303.3590
2026-01-161.38303.3490
2026-01-151.38303.3490
2026-01-141.37503.3410
2026-01-131.37503.3410
2026-01-121.38303.3490
2026-01-091.37703.3430
2026-01-081.36803.3340
2026-01-071.37403.3400
2026-01-061.37203.3380
2026-01-051.35003.3160
2025-12-311.32403.2900
2025-12-301.32903.2950
2025-12-291.32603.2920
2025-12-261.33103.2970
2025-12-251.32803.2940
2025-12-241.32603.2920
2025-12-231.31803.2840
2025-12-221.31403.2800
2025-12-191.30103.2670
2025-12-181.29403.2600
2025-12-171.30103.2670
2025-12-161.27803.2440
2025-12-151.29303.2590
2025-12-121.29903.2650
2025-12-111.28803.2540
2025-12-101.29803.2640
2025-12-091.29803.2640
2025-12-081.30303.2690
2025-12-051.29303.2590
2025-12-041.28003.2460