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中金鑫福87个月(008102)

2025-06-13     1.01680.0787%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-06-131.01681.1971
2025-06-061.02601.1963
2025-05-301.02511.1954
2025-05-231.02431.1946
2025-05-161.02341.1937
2025-05-091.02251.1928
2025-04-301.02151.1918
2025-04-251.02081.1911
2025-04-181.02001.1903
2025-04-111.01921.1895
2025-04-031.01821.1885
2025-03-281.01751.1878
2025-03-211.01681.1871
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