银河睿达混合C
(005387.jj)银河基金管理有限公司持有人户数4,683.00
成立日期2018-02-06
总资产规模
221.16万 (2024-09-30)
基金类型混合型当前净值1.5674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8.38%
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银河睿达混合C(005387) - 历史基金累计净值数据曲线

最后更新于:2024-12-26

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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
2024-12-261.56741.6929
2024-12-251.56391.6894
2024-12-241.56621.6917
2024-12-231.56131.6868
2024-12-201.56401.6895
2024-12-191.56071.6862
2024-12-181.55951.6850
2024-12-171.55851.6840
2024-12-161.56051.6860
2024-12-131.56371.6892
2024-12-121.57401.6995
2024-12-111.56761.6931
2024-12-101.56901.6945
2024-12-091.56441.6899
2024-12-061.56591.6914
2024-12-051.56101.6865
2024-12-041.56041.6859
2024-12-031.56311.6886
2024-12-021.56361.6891
2024-11-291.55661.6821
2024-11-281.54731.6728
2024-11-271.54961.6751
2024-11-261.54181.6673
2024-11-251.54001.6655
2024-11-221.54121.6667
2024-11-211.55461.6801
2024-11-201.55471.6802
2024-11-191.55301.6785
2024-11-181.54811.6736
2024-11-151.55411.6796
2024-11-141.56361.6891
2024-11-131.57331.6988
2024-11-121.57211.6976
2024-11-111.57621.7017
2024-11-081.57091.6964
2024-11-071.57461.7001
2024-11-061.56161.6871
2024-11-051.56461.6901
2024-11-041.55401.6795
2024-11-011.54771.6732
2024-10-311.54771.6732
2024-10-301.54511.6706
2024-10-291.54921.6747
2024-10-281.55241.6779
2024-10-251.55501.6805
2024-10-241.55221.6777
2024-10-231.55621.6817
2024-10-221.55641.6819
2024-10-211.55621.6817
2024-10-181.55441.6799