兴全轻资产混合(LOF)163412今天基金净值
今天盘中估算:3.5199 0.34%单位净值(04-02): 3.5080 ( 0.17% ) 交易状态:开放申购 开放赎回 购买手续费: 1.50% 0.15% 1折 成立日期:2012-04-05 基金经理: 董理 类型:混合型 管理人:兴证全球基金 资产规模: 83.64亿元 (截止至:12-31)
兴全轻资产混合(LOF)163412基金净值走势图
兴全轻资产混合(LOF)163412基金历史净值明细
日期时间 | 单位净值七日年化收益率 | 累计净值万份收益 |
20210402 | 3.508 | 6.072 |
|
20210401 | 3.502 | 6.066 |
|
20210331 | 3.473 | 6.037 |
|
20210330 | 3.495 | 6.059 |
|
20210329 | 3.507 | 6.071 |
|
20210326 | 3.502 | 6.066 |
|
20210325 | 3.444 | 6.008 |
|
20210324 | 3.431 | 5.995 |
|
20210323 | 3.499 | 6.063 |
|
20210322 | 3.507 | 6.071 |
|
20210319 | 3.476 | 6.04 |
|
20210318 | 3.538 | 6.102 |
|
20210317 | 3.519 | 6.083 |
|
20210316 | 3.499 | 6.063 |
|
20210315 | 3.492 | 6.056 |
|
20210312 | 3.538 | 6.102 |
|
20210311 | 3.536 | 6.1 |
|
20210310 | 3.459 | 6.023 |
|
20210309 | 3.483 | 6.047 |
|
20210308 | 3.575 | 6.139 |
|
20210305 | 3.662 | 6.226 |
|
20210304 | 3.686 | 6.25 |
|
20210303 | 3.784 | 6.348 |
|
20210302 | 3.75 | 6.314 |
|
20210301 | 3.758 | 6.322 |
|
20210226 | 3.672 | 6.236 |
|
20210225 | 3.731 | 6.295 |
|
20210224 | 3.639 | 6.203 |
|
20210223 | 3.678 | 6.242 |
|
20210222 | 3.675 | 6.239 |
|
20210219 | 3.745 | 6.309 |
|
20210218 | 3.77 | 6.334 |
|
20210210 | 3.699 | 6.263 |
|
20210209 | 3.68 | 6.244 |
|
20210208 | 3.637 | 6.201 |
|
20210205 | 3.572 | 6.136 |
|
20210204 | 3.6 | 6.164 |
|
20210203 | 3.644 | 6.208 |
|
20210202 | 3.677 | 6.241 |
|
20210201 | 3.615 | 6.179 |
|
20210129 | 3.525 | 6.089 |
|
20210128 | 3.549 | 6.113 |
|
20210127 | 3.659 | 6.223 |
|
20210126 | 3.648 | 6.212 |
|
20210125 | 3.742 | 6.306 |
|
20210122 | 3.753 | 6.317 |
|
20210121 | 3.741 | 6.305 |
|
20210120 | 3.731 | 6.295 |
|
20210119 | 3.704 | 6.268 |
|
20210118 | 3.756 | 6.32 |
兴全轻资产混合(LOF)163412基金季/年度涨幅图
兴全轻资产混合(LOF)163412年度的基金持仓股票一览