南方医药创新股票C
(010593.jj)南方基金管理股份有限公司
成立日期2021-03-02
总资产规模
5.61亿 (2024-06-30)
基金类型股票型当前净值0.4638基金经理王峥娇蔡强管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率-19.74%
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南方医药创新股票C(010593) - 历史基金累计净值数据曲线

最后更新于:2024-08-30

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南方医药创新股票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
2024-08-300.46380.4638
2024-08-290.46350.4635
2024-08-280.46040.4604
2024-08-270.46180.4618
2024-08-260.45900.4590
2024-08-230.46020.4602
2024-08-220.46520.4652
2024-08-210.46330.4633
2024-08-200.46260.4626
2024-08-190.46790.4679
2024-08-160.47070.4707
2024-08-150.46720.4672
2024-08-140.46430.4643
2024-08-130.46980.4698
2024-08-120.47170.4717
2024-08-090.46660.4666
2024-08-080.47040.4704
2024-08-070.46980.4698
2024-08-060.47110.4711
2024-08-050.46390.4639
2024-08-020.46540.4654
2024-08-010.46380.4638
2024-07-310.46790.4679
2024-07-300.44520.4452
2024-07-290.45000.4500
2024-07-260.45590.4559
2024-07-250.45800.4580
2024-07-240.46140.4614
2024-07-230.46890.4689
2024-07-220.48690.4869
2024-07-190.48250.4825
2024-07-180.48400.4840
2024-07-170.48140.4814
2024-07-160.47720.4772
2024-07-150.47890.4789
2024-07-120.48540.4854
2024-07-110.47940.4794
2024-07-100.47090.4709
2024-07-090.47490.4749
2024-07-080.47250.4725
2024-07-050.48580.4858
2024-07-040.47000.4700
2024-07-030.47690.4769
2024-07-020.48270.4827
2024-07-010.48820.4882
2024-06-280.48380.4838
2024-06-270.48730.4873
2024-06-260.49500.4950
2024-06-250.48530.4853
2024-06-240.48990.4899