博时荣华混合C
(010329.jj)博时基金管理有限公司持有人户数590.00
成立日期2020-11-10
总资产规模
1,114.11万 (2024-09-30)
基金类型混合型当前净值0.6365基金经理金晟哲管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率-10.39%
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博时荣华混合C(010329) - 历史基金净值数据曲线

最后更新于:2024-12-23

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博时荣华混合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
2024-12-230.63650.6365
2024-12-200.64050.6405
2024-12-190.64120.6412
2024-12-180.64150.6415
2024-12-170.63880.6388
2024-12-160.64170.6417
2024-12-130.64820.6482
2024-12-120.65790.6579
2024-12-110.65240.6524
2024-12-100.64630.6463
2024-12-090.64850.6485
2024-12-060.64430.6443
2024-12-050.63920.6392
2024-12-040.63800.6380
2024-12-030.64350.6435
2024-12-020.64600.6460
2024-11-290.63980.6398
2024-11-280.62900.6290
2024-11-270.63420.6342
2024-11-260.62070.6207
2024-11-250.62680.6268
2024-11-220.62450.6245
2024-11-210.64190.6419
2024-11-200.64210.6421
2024-11-190.63770.6377
2024-11-180.62780.6278
2024-11-150.63220.6322
2024-11-140.64390.6439
2024-11-130.65850.6585
2024-11-120.65750.6575
2024-11-110.67040.6704
2024-11-080.66740.6674
2024-11-070.67050.6705
2024-11-060.66360.6636
2024-11-050.66280.6628
2024-11-040.64840.6484
2024-11-010.64090.6409
2024-10-310.64230.6423
2024-10-300.64290.6429
2024-10-290.64580.6458
2024-10-280.65260.6526
2024-10-250.65300.6530
2024-10-240.64790.6479
2024-10-230.65520.6552
2024-10-220.64950.6495
2024-10-210.64610.6461
2024-10-180.64220.6422
2024-10-170.62160.6216
2024-10-160.62690.6269
2024-10-150.62520.6252