诺安积极配置混合C
(006008.jj)诺安基金管理有限公司持有人户数9,048.00
成立日期2018-07-27
总资产规模
3,422.26万 (2024-09-30)
基金类型混合型当前净值1.1978基金经理刘鑫管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率2.86%
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诺安积极配置混合C(006008) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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诺安积极配置混合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
2024-12-231.19781.1978
2024-12-201.20851.2085
2024-12-191.20251.2025
2024-12-181.20791.2079
2024-12-171.20781.2078
2024-12-161.21531.2153
2024-12-131.23461.2346
2024-12-121.26241.2624
2024-12-111.23711.2371
2024-12-101.22571.2257
2024-12-091.21151.2115
2024-12-061.21141.2114
2024-12-051.20071.2007
2024-12-041.20311.2031
2024-12-031.20611.2061
2024-12-021.21031.2103
2024-11-291.20391.2039
2024-11-281.18811.1881
2024-11-271.19541.1954
2024-11-261.17831.1783
2024-11-251.17101.1710
2024-11-221.16951.1695
2024-11-211.20041.2004
2024-11-201.20511.2051
2024-11-191.19811.1981
2024-11-181.19801.1980
2024-11-151.21131.2113
2024-11-141.21981.2198
2024-11-131.23751.2375
2024-11-121.23371.2337
2024-11-111.23961.2396
2024-11-081.23861.2386
2024-11-071.25501.2550
2024-11-061.19741.1974
2024-11-051.20181.2018
2024-11-041.17831.1783
2024-11-011.16741.1674
2024-10-311.16381.1638
2024-10-301.16881.1688
2024-10-291.18611.1861
2024-10-281.20451.2045
2024-10-251.18761.1876
2024-10-241.17931.1793
2024-10-231.19431.1943
2024-10-221.18751.1875
2024-10-211.17521.1752
2024-10-181.16941.1694
2024-10-171.14031.1403
2024-10-161.15301.1530
2024-10-151.15821.1582