国泰民安养老2040三年持有混合(FOF)A
(007231.jj)国泰基金管理有限公司持有人户数1,468.00
成立日期2019-07-16
总资产规模
4,786.36万 (2024-09-30)
基金类型FOF(养老目标基金)当前净值1.1513基金经理曾辉管理费用率0.90%管托费用率0.15%持仓换手率208.86% (2024-06-30) 成立以来分红再投入年化收益率2.63%
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国泰民安养老2040三年持有混合(FOF)A(007231) - 历史基金净值数据曲线

最后更新于:2024-12-23

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国泰民安养老2040三年持有混合(FOF)A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-231.15131.1513
2024-12-181.16831.1683
2024-12-171.16451.1645
2024-12-121.20761.2076
2024-12-111.20321.2032
2024-12-091.19581.1958
2024-12-051.19521.1952
2024-12-041.19721.1972
2024-12-021.19641.1964
2024-11-291.18801.1880
2024-11-271.18281.1828
2024-11-261.17451.1745
2024-11-251.17821.1782
2024-11-221.18211.1821
2024-11-211.18991.1899
2024-11-201.19071.1907
2024-11-191.18471.1847
2024-11-181.17781.1778
2024-11-141.19941.1994
2024-11-131.22961.2296
2024-11-121.23281.2328
2024-11-111.24731.2473
2024-11-081.25151.2515
2024-11-071.27011.2701
2024-11-061.24521.2452
2024-11-051.23341.2334
2024-11-041.19901.1990
2024-11-011.20581.2058
2024-10-311.20561.2056
2024-10-301.19381.1938
2024-10-291.18701.1870
2024-10-281.20351.2035
2024-10-251.18381.1838
2024-10-231.19951.1995
2024-10-221.19521.1952
2024-10-211.19411.1941
2024-10-181.18721.1872
2024-10-171.16641.1664
2024-10-161.20661.2066
2024-10-151.16911.1691
2024-10-141.19221.1922
2024-10-111.16701.1670
2024-10-101.16971.1697
2024-10-091.16901.1690
2024-10-081.24201.2420
2024-09-261.09741.0974
2024-09-251.04721.0472
2024-09-241.04181.0418
2024-09-231.02171.0217
2024-09-201.02451.0245