招商中证银行ah价格优选etf
(517900.sh ) 银行ah (月度) 招商基金管理有限公司
基金类型指数型基金(etf)成立日期2022-03-15总资产规模10.65亿 (2025-08-12) 基金场内规模10.65亿 (2025-08-12) 基金净值1.5753 (2025-08-13) 收盘价格1.5820 (2025-08-13) 收盘价涨跌幅-0.57%成交金额6,254.00万收盘价溢价率0.43%基金经理刘重杰管理费用率0.50%管托费用率0.10% (2025-06-19) 持仓换手率37.28% (2024-12-31) 成立以来分红再投入年化收益率14.25% (961 / 5026) 融资融券余额占场内资产规模比例1.39% (融资余额1,478.47万融券余额02025-08-12)
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招商中证银行ah价格优选etf(517900)月度涨跌幅 -凯发官网入口

数据选项
基金名称1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
20253.02%1.23%3.19%-0.83%6.81%6.75%-1.65%1.03%--------20.92%
1.47%1.97%2.91%-1.18%6.56%5.86%-2.91%1.02%--------16.42%
20242.47%5.77%-0.28%6.80%4.28%0.29%-0.10%-1.08%11.71%-0.71%-0.32%8.97%43.72%
3.06%6.02%0.11%7.04%4.06%-1.26%-3.89%-1.91%12.31%-0.89%-0.16%9.53%38.05%
20233.82%-4.37%-1.88%3.13%-2.37%1.19%5.47%-7.66%3.08%-4.15%-3.38%1.31%-6.52%
3.43%-4.48%-1.86%3.30%-2.40%-0.64%1.95%-7.46%3.80%-4.49%-4.16%1.28%-11.81%
2022-------2.87%-3.88%4.38%-7.15%-0.98%-2.55%-10.35%17.99%0.84%--
4.85%0.44%-0.99%-1.22%-2.99%2.39%-10.03%-0.87%-3.05%-9.66%18.52%0.87%-4.48%
2021--------------------------
6.36%2.71%3.28%-2.73%4.39%-6.51%-12.70%2.77%0.61%2.49%-4.74%1.66%-4.03%
2020--------------------------
-7.58%-3.03%-3.55%3.76%-2.57%-2.06%-1.60%1.51%-5.63%5.09%11.64%-2.09%-7.34%
2019--------------------------
8.51%5.00%-0.09%4.27%-5.70%2.04%-0.63%-4.95%3.80%3.61%-2.09%6.31%20.77%
2018--------------------------
14.04%-8.41%-4.83%2.02%-3.79%-6.69%3.99%-1.16%4.31%-1.75%0.59%-5.93%-9.25%
2017--------------------------
----------------------0.02%0.02%
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