国投瑞银沪深300指数量化增强C
(007144.jj)沪深300 (半年) 国投瑞银基金管理有限公司持有人户数6,259.00
成立日期2019-06-11
总资产规模
5.44亿 (2024-09-30)
基金类型指数型基金当前净值1.2481基金经理殷瑞飞管理费用率1.00%管托费用率0.15%成立以来分红再投入年化收益率5.10%
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国投瑞银沪深300指数量化增强C(007144) - 历史基金净值数据曲线

最后更新于:2024-12-25

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国投瑞银沪深300指数量化增强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
2024-12-251.24811.3236
2024-12-241.24861.3241
2024-12-231.23261.3081
2024-12-201.23001.3055
2024-12-191.23571.3112
2024-12-181.23401.3095
2024-12-171.22961.3051
2024-12-161.22591.3014
2024-12-131.23221.3077
2024-12-121.25811.3336
2024-12-111.24501.3205
2024-12-101.24511.3206
2024-12-091.23621.3117
2024-12-061.23731.3128
2024-12-051.22051.2960
2024-12-041.22361.2991
2024-12-031.22961.3051
2024-12-021.22651.3020
2024-11-291.21521.2907
2024-11-281.20441.2799
2024-11-271.21471.2902
2024-11-261.19641.2719
2024-11-251.19611.2716
2024-11-221.20141.2769
2024-11-211.23651.3120
2024-11-201.23651.3120
2024-11-191.23311.3086
2024-11-181.22671.3022
2024-11-151.23171.3072
2024-11-141.24851.3240
2024-11-131.26761.3431
2024-11-121.25941.3349
2024-11-111.27321.3487
2024-11-081.27131.3468
2024-11-071.28531.3608
2024-11-061.25141.3269
2024-11-051.26271.3382
2024-11-041.23471.3102
2024-11-011.22061.2961
2024-10-311.22021.2957
2024-10-301.22261.2981
2024-10-291.23191.3074
2024-10-281.24441.3199
2024-10-251.24261.3181
2024-10-241.23621.3117
2024-10-231.24911.3246
2024-10-221.24241.3179
2024-10-211.23501.3105
2024-10-181.23061.3061
2024-10-171.19641.2719