新华安康多元收益一年持有期混合C
(010402.jj)新华基金管理股份有限公司持有人户数290.00
成立日期2020-12-16
总资产规模
620.09万 (2024-09-30)
基金类型混合型当前净值0.9702基金经理王滨管理费用率0.70%管托费用率0.15%成立以来分红再投入年化收益率-0.75%
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新华安康多元收益一年持有期混合C(010402) - 历史基金净值数据曲线

最后更新于:2024-12-23

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新华安康多元收益一年持有期混合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
2024-12-230.97020.9702
2024-12-200.97260.9726
2024-12-190.97150.9715
2024-12-180.96960.9696
2024-12-170.96690.9669
2024-12-160.96880.9688
2024-12-130.97170.9717
2024-12-120.97580.9758
2024-12-110.97330.9733
2024-12-100.97000.9700
2024-12-090.96820.9682
2024-12-060.96760.9676
2024-12-050.96410.9641
2024-12-040.96320.9632
2024-12-030.96640.9664
2024-12-020.96730.9673
2024-11-290.96270.9627
2024-11-280.95820.9582
2024-11-270.96040.9604
2024-11-260.95710.9571
2024-11-250.95790.9579
2024-11-220.95660.9566
2024-11-210.96730.9673
2024-11-200.96810.9681
2024-11-190.96570.9657
2024-11-180.96220.9622
2024-11-150.96490.9649
2024-11-140.96750.9675
2024-11-130.97380.9738
2024-11-120.97260.9726
2024-11-110.97310.9731
2024-11-080.96930.9693
2024-11-070.97030.9703
2024-11-060.96560.9656
2024-11-050.96580.9658
2024-11-040.96320.9632
2024-11-010.96190.9619
2024-10-310.96340.9634
2024-10-300.96500.9650
2024-10-290.96460.9646
2024-10-280.96510.9651
2024-10-250.96450.9645
2024-10-240.96400.9640
2024-10-230.96680.9668
2024-10-220.96620.9662
2024-10-210.96430.9643
2024-10-180.96410.9641
2024-10-170.96020.9602
2024-10-160.96240.9624
2024-10-150.96340.9634