国泰中证全指家用电器ETF联接C
(008714.jj)家用电器 (半年) 国泰基金管理有限公司持有人户数1.59万
成立日期2020-04-03
总资产规模
1.06亿 (2024-09-30)
基金类型指数型基金(ETF,联接型)当前净值1.3703基金经理晏曦管理费用率0.50%管托费用率0.10%成立以来分红再投入年化收益率6.90%
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国泰中证全指家用电器ETF联接C(008714) - 历史基金累计净值数据曲线

最后更新于:2024-12-24

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国泰中证全指家用电器ETF联接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
2024-12-241.37031.3703
2024-12-231.34691.3469
2024-12-201.35021.3502
2024-12-191.34701.3470
2024-12-181.33911.3391
2024-12-171.32921.3292
2024-12-161.33731.3373
2024-12-131.35141.3514
2024-12-121.38241.3824
2024-12-111.37401.3740
2024-12-101.36111.3611
2024-12-091.34621.3462
2024-12-061.34191.3419
2024-12-051.33041.3304
2024-12-041.32631.3263
2024-12-031.32451.3245
2024-12-021.32641.3264
2024-11-291.30451.3045
2024-11-281.28511.2851
2024-11-271.30331.3033
2024-11-261.27561.2756
2024-11-251.28401.2840
2024-11-221.29871.2987
2024-11-211.33171.3317
2024-11-201.33081.3308
2024-11-191.32111.3211
2024-11-181.29921.2992
2024-11-151.33071.3307
2024-11-141.36221.3622
2024-11-131.36891.3689
2024-11-121.36801.3680
2024-11-111.36601.3660
2024-11-081.36311.3631
2024-11-071.35181.3518
2024-11-061.32871.3287
2024-11-051.35061.3506
2024-11-041.33991.3399
2024-11-011.31911.3191
2024-10-311.34561.3456
2024-10-301.35831.3583
2024-10-291.36351.3635
2024-10-281.36531.3653
2024-10-251.34441.3444
2024-10-241.33591.3359
2024-10-231.34361.3436
2024-10-221.34391.3439
2024-10-211.30671.3067
2024-10-181.29911.2991
2024-10-171.25401.2540
2024-10-161.26241.2624