前海联合泳隽混合C
(007042.jj)新疆前海联合基金管理有限公司持有人户数168.00
成立日期2019-02-25
总资产规模
43.75万 (2024-09-30)
基金类型混合型当前净值1.4326基金经理张永任管理费用率0.70%管托费用率0.15%成立以来分红再投入年化收益率10.28%
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前海联合泳隽混合C(007042) - 历史基金净值数据曲线

最后更新于:2024-12-26

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前海联合泳隽混合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
2024-12-261.43261.5126
2024-12-251.43011.5101
2024-12-241.44621.5262
2024-12-231.43201.5120
2024-12-201.44921.5292
2024-12-191.44221.5222
2024-12-181.43831.5183
2024-12-171.43001.5100
2024-12-161.44231.5223
2024-12-131.46401.5440
2024-12-121.49741.5774
2024-12-111.44721.5272
2024-12-101.43641.5164
2024-12-091.42601.5060
2024-12-061.44461.5246
2024-12-051.42091.5009
2024-12-041.42211.5021
2024-12-031.44191.5219
2024-12-021.45551.5355
2024-11-291.43901.5190
2024-11-281.41691.4969
2024-11-271.43051.5105
2024-11-261.39471.4747
2024-11-251.39741.4774
2024-11-221.40261.4826
2024-11-211.45731.5373
2024-11-201.45871.5387
2024-11-191.44021.5202
2024-11-181.41781.4978
2024-11-151.43821.5182
2024-11-141.47641.5564
2024-11-131.52281.6028
2024-11-121.53161.6116
2024-11-111.55081.6308
2024-11-081.51791.5979
2024-11-071.51571.5957
2024-11-061.48531.5653
2024-11-051.48201.5620
2024-11-041.43331.5133
2024-11-011.40931.4893
2024-10-311.42031.5003
2024-10-301.41031.4903
2024-10-291.42301.5030
2024-10-281.43971.5197
2024-10-251.42171.5017
2024-10-241.40391.4839
2024-10-231.41511.4951
2024-10-221.41531.4953
2024-10-211.42221.5022
2024-10-181.39531.4753