银河睿达混合C
(005387.jj)银河基金管理有限公司
成立日期2018-02-06
总资产规模
246.74万 (2024-06-30)
基金类型混合型当前净值1.4795基金经理魏璇鲍武斌管理费用率0.60%管托费用率0.10%成立以来分红再投入年化收益率7.86%
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银河睿达混合C(005387) - 历史基金净值数据曲线

最后更新于:2024-08-30

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银河睿达混合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
2024-08-301.47951.6050
2024-08-291.47411.5996
2024-08-281.47461.6001
2024-08-271.47701.6025
2024-08-261.48031.6058
2024-08-231.48121.6067
2024-08-221.48141.6069
2024-08-211.48281.6083
2024-08-201.48431.6098
2024-08-191.48631.6118
2024-08-161.48541.6109
2024-08-151.48441.6099
2024-08-141.48231.6078
2024-08-131.48471.6102
2024-08-121.48441.6099
2024-08-091.48711.6126
2024-08-081.48731.6128
2024-08-071.48761.6131
2024-08-061.48821.6137
2024-08-051.48811.6136
2024-08-021.49051.6160
2024-08-011.49411.6196
2024-07-311.49631.6218
2024-07-301.48911.6146
2024-07-291.49061.6161
2024-07-261.49201.6175
2024-07-251.49061.6161
2024-07-241.49131.6168
2024-07-231.49401.6195
2024-07-221.49911.6246
2024-07-191.50001.6255
2024-07-181.49951.6250
2024-07-171.49841.6239
2024-07-161.49811.6236
2024-07-151.49431.6198
2024-07-121.49401.6195
2024-07-111.49141.6169
2024-07-101.48781.6133
2024-07-091.48801.6135
2024-07-081.48261.6081
2024-07-051.48661.6121
2024-07-041.48871.6142
2024-07-031.49121.6167
2024-07-021.49301.6185
2024-07-011.49351.6190
2024-06-281.49181.6173
2024-06-271.49231.6178
2024-06-261.49461.6201
2024-06-251.49201.6175
2024-06-241.49371.6192