永赢成长领航混合C
(010563.jj)永赢基金管理有限公司持有人户数1.38万
成立日期2020-12-01
总资产规模
1.08亿 (2024-09-30)
基金类型混合型当前净值0.8312基金经理欧子辰管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-4.46%
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永赢成长领航混合C(010563) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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永赢成长领航混合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
2024-12-200.83120.8312
2024-12-190.81160.8116
2024-12-180.81180.8118
2024-12-170.79150.7915
2024-12-160.81540.8154
2024-12-130.83020.8302
2024-12-120.83690.8369
2024-12-110.82710.8271
2024-12-100.80350.8035
2024-12-090.79440.7944
2024-12-060.79390.7939
2024-12-050.80250.8025
2024-12-040.79810.7981
2024-12-030.81780.8178
2024-12-020.82530.8253
2024-11-290.81030.8103
2024-11-280.79100.7910
2024-11-270.78840.7884
2024-11-260.76260.7626
2024-11-250.76950.7695
2024-11-220.77280.7728
2024-11-210.80050.8005
2024-11-200.81270.8127
2024-11-190.80830.8083
2024-11-180.79400.7940
2024-11-150.80150.8015
2024-11-140.83160.8316
2024-11-130.86170.8617
2024-11-120.86140.8614
2024-11-110.88440.8844
2024-11-080.85730.8573
2024-11-070.84650.8465
2024-11-060.85840.8584
2024-11-050.86900.8690
2024-11-040.83410.8341
2024-11-010.82350.8235
2024-10-310.83830.8383
2024-10-300.81740.8174
2024-10-290.80450.8045
2024-10-280.81530.8153
2024-10-250.79780.7978
2024-10-240.78140.7814
2024-10-230.79900.7990
2024-10-220.78500.7850
2024-10-210.78040.7804
2024-10-180.76520.7652
2024-10-170.72950.7295
2024-10-160.72760.7276
2024-10-150.73250.7325
2024-10-140.74520.7452