行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

中金鑫福87个月(008102)

2025-03-14     1.01590.0788%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-03-141.01591.1862
2025-03-071.01511.1854
2025-02-281.01431.1846
2025-02-211.01351.1838
2025-02-141.01271.1830
2025-02-071.01191.1822
2025-01-271.01081.1811
2025-01-241.01061.1809
2025-01-171.00981.1801
2025-01-101.00901.1793
2025-01-031.00821.1785
2024-12-311.00791.1782
2024-12-271.00741.1777
2024-12-201.00651.1768
2024-12-131.01571.1760
2024-12-061.01491.1752
2024-11-291.01401.1743
2024-11-221.01321.1735
2024-11-151.01231.1726
2024-11-081.01151.1718
2024-11-011.01061.1709
2024-10-251.00981.1701
2024-10-181.00891.1692
2024-10-111.00811.1684
2024-09-301.00691.1672
2024-09-271.00651.1668
2024-09-201.00571.1660