圆信永丰双利C
(000825.jj)圆信永丰基金管理有限公司持有人户数5.00
成立日期2014-11-19
总资产规模
6,483.39万 (2024-09-30)
基金类型混合型当前净值0.8213基金经理陈臣管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率11.63%
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圆信永丰双利C(000825) - 历史基金净值数据曲线

最后更新于:2024-11-08

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圆信永丰双利C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-11-080.82132.4940
2024-11-070.82832.5010
2024-11-060.81312.4858
2024-11-050.81472.4874
2024-11-040.79712.4698
2024-11-010.78182.4545
2024-10-310.78022.4529
2024-10-300.78572.4584
2024-10-290.78912.4618
2024-10-280.79982.4725
2024-10-250.79432.4670
2024-10-240.78662.4593
2024-10-230.79612.4688
2024-10-220.79652.4692
2024-10-210.79002.4627
2024-10-180.78482.4575
2024-10-170.75782.4305
2024-10-160.77012.4428
2024-10-150.77542.4481
2024-10-140.79492.4676
2024-10-110.77762.4503
2024-10-100.80422.4769
2024-10-090.79452.4672
2024-10-080.86442.5371
2024-09-300.82272.4954
2024-09-270.76102.4337
2024-09-260.72152.3942
2024-09-250.69262.3653
2024-09-240.68612.3588
2024-09-230.65792.3306
2024-09-200.65792.3306
2024-09-190.65792.3306
2024-09-180.65352.3262
2024-09-130.65182.3245
2024-09-120.65652.3292
2024-09-110.66142.3341
2024-09-100.65702.3297
2024-09-090.65732.3300
2024-09-060.66322.3359
2024-09-050.67002.3427
2024-09-040.66892.3416
2024-09-030.67352.3462
2024-09-020.66602.3387
2024-08-300.67802.3507
2024-08-290.66672.3394
2024-08-280.65722.3299
2024-08-270.65792.3306
2024-08-260.66232.3350
2024-08-230.66272.3354
2024-08-220.66032.3330