国联鑫价值混合C
(004837.jj)国联基金管理有限公司持有人户数1,151.00
成立日期2018-03-09
总资产规模
984.45万 (2024-09-30)
基金类型混合型当前净值0.8981基金经理潘巍管理费用率0.60%管托费用率0.10%成立以来分红再投入年化收益率-1.57%
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国联鑫价值混合C(004837) - 历史基金净值数据曲线

最后更新于:2024-12-20

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国联鑫价值混合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
2024-12-200.89810.8981
2024-12-190.89620.8962
2024-12-180.89660.8966
2024-12-170.89620.8962
2024-12-160.89640.8964
2024-12-130.89580.8958
2024-12-120.89530.8953
2024-12-110.89320.8932
2024-12-100.89160.8916
2024-12-090.88730.8873
2024-12-060.88690.8869
2024-12-050.88600.8860
2024-12-040.88470.8847
2024-12-030.88430.8843
2024-12-020.88390.8839
2024-11-290.88100.8810
2024-11-280.87940.8794
2024-11-270.87770.8777
2024-11-260.87630.8763
2024-11-250.87600.8760
2024-11-220.87530.8753
2024-11-210.87640.8764
2024-11-200.87500.8750
2024-11-190.87370.8737
2024-11-180.87140.8714
2024-11-150.87400.8740
2024-11-140.87490.8749
2024-11-130.87690.8769
2024-11-120.87690.8769
2024-11-110.87690.8769
2024-11-080.87490.8749
2024-11-070.87530.8753
2024-11-060.87410.8741
2024-11-050.87360.8736
2024-11-040.87160.8716
2024-11-010.87050.8705
2024-10-310.86950.8695
2024-10-300.86920.8692
2024-10-290.86970.8697
2024-10-280.87040.8704
2024-10-250.86950.8695
2024-10-240.86890.8689
2024-10-230.87010.8701
2024-10-220.87040.8704
2024-10-210.87060.8706
2024-10-180.86960.8696
2024-10-170.86820.8682
2024-10-160.86700.8670
2024-10-150.86690.8669
2024-10-140.86670.8667