前海联合泳涛混合C
(007041.jj)新疆前海联合基金管理有限公司持有人户数6,876.00
成立日期2019-02-25
总资产规模
2,408.63万 (2024-09-30)
基金类型混合型当前净值1.0866基金经理王静管理费用率0.60%管托费用率0.10%成立以来分红再投入年化收益率0.44%
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前海联合泳涛混合C(007041) - 历史基金净值数据曲线

最后更新于:2025-01-13

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前海联合泳涛混合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
2025-01-131.08661.0866
2025-01-101.09721.0972
2025-01-091.12371.1237
2025-01-081.13231.1323
2025-01-071.12401.1240
2025-01-061.11321.1132
2025-01-031.11701.1170
2025-01-021.14301.1430
2024-12-311.14941.1494
2024-12-301.17861.1786
2024-12-271.19211.1921
2024-12-261.21441.2144
2024-12-251.19791.1979
2024-12-241.20771.2077
2024-12-231.18501.1850
2024-12-201.22371.2237
2024-12-191.20201.2020
2024-12-181.20501.2050
2024-12-171.20281.2028
2024-12-161.24421.2442
2024-12-131.25321.2532
2024-12-121.27611.2761
2024-12-111.26471.2647
2024-12-101.24921.2492
2024-12-091.22871.2287
2024-12-061.23801.2380
2024-12-051.22651.2265
2024-12-041.22471.2247
2024-12-031.24381.2438
2024-12-021.25941.2594
2024-11-291.24261.2426
2024-11-281.21951.2195
2024-11-271.22471.2247
2024-11-261.19471.1947
2024-11-251.20001.2000
2024-11-221.19381.1938
2024-11-211.23471.2347
2024-11-201.24011.2401
2024-11-191.23251.2325
2024-11-181.21481.2148
2024-11-151.23591.2359
2024-11-141.26581.2658
2024-11-131.29951.2995
2024-11-121.31361.3136
2024-11-111.30561.3056
2024-11-081.29791.2979
2024-11-071.32131.3213
2024-11-061.27011.2701
2024-11-051.26281.2628
2024-11-041.23241.2324