国泰安康定期支付混合A
(000367.jj)国泰基金管理有限公司
成立日期2014-04-30
总资产规模
3,424.13万 (2024-06-30)
基金类型混合型当前净值1.8620基金经理茅利伟管理费用率0.70%管托费用率0.20%持仓换手率67.14% (2024-06-30) 成立以来分红再投入年化收益率6.20%
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国泰安康定期支付混合A(000367) - 历史基金累计净值数据曲线

最后更新于:2024-08-30

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国泰安康定期支付混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-08-301.86201.8620
2024-08-291.86201.8620
2024-08-281.86301.8630
2024-08-271.85901.8590
2024-08-261.86401.8640
2024-08-231.86801.8680
2024-08-221.86701.8670
2024-08-211.86501.8650
2024-08-201.86501.8650
2024-08-191.86601.8660
2024-08-161.86201.8620
2024-08-151.86301.8630
2024-08-141.86301.8630
2024-08-131.86101.8610
2024-08-121.85901.8590
2024-08-091.86501.8650
2024-08-081.86901.8690
2024-08-071.87401.8740
2024-08-061.87101.8710
2024-08-051.87301.8730
2024-08-021.87601.8760
2024-08-011.87601.8760
2024-07-311.87501.8750
2024-07-301.87101.8710
2024-07-291.87201.8720
2024-07-261.86801.8680
2024-07-251.86501.8650
2024-07-241.86201.8620
2024-07-231.86101.8610
2024-07-221.86401.8640
2024-07-191.86401.8640
2024-07-181.86401.8640
2024-07-171.86301.8630
2024-07-161.86601.8660
2024-07-151.86701.8670
2024-07-121.86501.8650
2024-07-111.86601.8660
2024-07-101.86501.8650
2024-07-091.86601.8660
2024-07-081.86001.8600
2024-07-051.86101.8610
2024-07-041.86301.8630
2024-07-031.86401.8640
2024-07-021.86501.8650
2024-07-011.86601.8660
2024-06-281.86301.8630
2024-06-271.85801.8580
2024-06-261.85901.8590
2024-06-251.85801.8580
2024-06-241.85801.8580