兴全可转债混合
(340001.jj ) 兴证全球基金管理有限公司
基金经理虞淼基金类型混合型成立日期2004-05-11总资产规模25.93亿 (2026-03-31) 基金净值1.0729 (2026-07-17) 管理费用率1.20%管托费用率0.20% (2026-06-12) 成立以来分红再投入年化收益率12.12% (1558 / 9305)
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兴全可转债混合(340001) - 历史基金净值数据曲线

最后更新于:2026-07-17

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兴全可转债混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-171.07294.2875
2026-07-161.08804.3026
2026-07-151.09544.3100
2026-07-141.09654.3111
2026-07-131.08454.2991
2026-07-101.09834.3129
2026-07-091.11124.3258
2026-07-081.10184.3164
2026-07-071.11154.3261
2026-07-061.12424.3388
2026-07-031.12424.3388
2026-07-021.12114.3357
2026-07-011.13144.3460
2026-06-301.12664.3412
2026-06-291.11414.3287
2026-06-261.11314.3277
2026-06-251.12994.3445
2026-06-241.13374.3483
2026-06-231.12714.3417
2026-06-221.14004.3546
2026-06-181.13184.3464
2026-06-171.13534.3499
2026-06-161.13794.3525
2026-06-151.13404.3486
2026-06-121.11954.3341
2026-06-111.10934.3239
2026-06-101.10854.3231
2026-06-091.11864.3332
2026-06-081.11164.3262
2026-06-051.12514.3397
2026-06-041.13584.3504
2026-06-031.14454.3591
2026-06-021.14394.3585
2026-06-011.13784.3524
2026-05-291.13484.3494
2026-05-281.14664.3612
2026-05-271.14094.3555
2026-05-261.14524.3598
2026-05-251.14934.3639
2026-05-221.15514.3697
2026-05-211.14964.3642
2026-05-201.16594.3805
2026-05-191.16934.3839
2026-05-181.15634.3709
2026-05-151.15784.3724
2026-05-141.16794.3825
2026-05-131.18664.4012
2026-05-121.17994.3945
2026-05-111.18874.4033
2026-05-081.17974.3943