博时中证2000ETF
(159533.sz ) 中证2000 (半年) 博时基金管理有限公司
基金类型指数型基金(ETF)成立日期2024-05-31总资产规模1,602.22万 (2025-08-20) 基金场内规模1,602.22万 (2025-08-20) 基金净值1.6939 (2025-08-20) 收盘价格1.6920 (2025-08-20) 收盘价涨跌幅0.77%成交金额214.00万折价率0.11%基金经理唐屹兵管理费用率0.50%管托费用率0.10% (2024-12-31) 持仓换手率12.38倍 (2024-12-31) 成立以来分红再投入年化收益率54.03% (83 / 5078)
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博时中证2000ETF(159533) - 历史基金净值数据曲线

最后更新于:2025-08-20

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博时中证2000ETF历史净值,最多展示50条数据。
日期基金收盘价基金净值基金累计净值
2025-08-201.69201.69391.6939
2025-08-191.67901.68261.6826
2025-08-181.66801.67031.6703
2025-08-151.64101.63901.6390
2025-08-141.61001.60941.6094
2025-08-131.64201.64081.6408
2025-08-121.62901.62481.6248
2025-08-111.62301.62441.6244
2025-08-081.60801.60211.6021
2025-08-071.60501.60521.6052
2025-08-061.61301.60331.6033
2025-08-051.58401.58751.5875
2025-08-041.58401.57001.5700
2025-08-011.54401.54541.5454
2025-07-311.52701.53461.5346
2025-07-301.54301.54611.5461
2025-07-291.55801.55731.5573
2025-07-281.55201.55451.5545
2025-07-251.54201.54481.5448
2025-07-241.53501.53771.5377
2025-07-231.53601.51831.5183
2025-07-221.53501.53371.5337
2025-07-211.53101.53311.5331
2025-07-181.51101.51241.5124
2025-07-171.51301.51111.5111
2025-07-161.49501.49391.4939
2025-07-151.47901.48251.4825
2025-07-141.49201.49231.4923
2025-07-111.48201.48231.4823
2025-07-101.47901.47351.4735
2025-07-091.47301.47191.4719
2025-07-081.46901.47231.4723
2025-07-071.45401.45441.4544
2025-07-041.45901.44421.4442
2025-07-031.45801.45921.4592
2025-07-021.45101.44821.4482
2025-07-011.45801.45771.4577
2025-06-301.45901.45211.4521
2025-06-271.43401.43341.4334
2025-06-261.43401.42501.4250
2025-06-251.42501.42721.4272
2025-06-241.40701.41101.4110
2025-06-231.37901.37741.3774
2025-06-201.35301.35351.3535
2025-06-191.38001.36121.3612
2025-06-181.39601.38391.3839
2025-06-171.39001.38461.3846
2025-06-161.38901.38611.3861
2025-06-131.37401.37161.3716
2025-06-121.39901.39931.3993