国泰聚利价值定期开放灵活配置混合
(005746.jj)国泰基金管理有限公司持有人户数5,658.00
成立日期2018-03-27
总资产规模
5.58亿 (2024-09-30)
基金类型混合型当前净值1.2204基金经理程洲程瑶管理费用率1.20%管托费用率0.20%持仓换手率53.92% (2024-06-30) 成立以来分红再投入年化收益率5.10%
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国泰聚利价值定期开放灵活配置混合(005746) - 历史基金净值数据曲线

最后更新于:2024-12-20

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国泰聚利价值定期开放灵活配置混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.22041.3694
2024-12-131.22651.3755
2024-12-061.22441.3734
2024-11-291.21771.3667
2024-11-221.20431.3533
2024-11-151.21021.3592
2024-11-081.22641.3754
2024-11-011.20661.3556
2024-10-251.21311.3621
2024-10-181.20871.3577
2024-10-111.19951.3485
2024-09-301.21091.3599
2024-09-271.18981.3388
2024-09-201.16231.3113
2024-09-131.16171.3107
2024-09-061.16511.3141
2024-09-051.16881.3178
2024-09-041.16791.3169
2024-09-031.16831.3173
2024-09-021.16701.3160
2024-08-301.16861.3176
2024-08-231.16191.3109
2024-08-161.16621.3152
2024-08-091.16731.3163
2024-08-021.16841.3174
2024-07-261.16871.3177
2024-07-191.17291.3219
2024-07-121.17181.3208
2024-07-051.17141.3204
2024-06-281.17411.3231
2024-06-211.17881.3278
2024-06-141.18181.3308
2024-06-071.18131.3303
2024-05-311.18691.3359
2024-05-241.18851.3375
2024-05-171.19251.3415
2024-05-101.19241.3414
2024-04-301.18831.3373
2024-04-261.18381.3328
2024-04-191.17441.3234
2024-04-121.17991.3289
2024-04-031.18471.3337
2024-03-291.18131.3303
2024-03-221.18181.3308
2024-03-151.18181.3308
2024-03-081.17351.3225
2024-03-011.16911.3181
2024-02-291.16591.3149
2024-02-281.15791.3069
2024-02-271.16781.3168