国联行业先锋6个月持有混合C
(010698.jj)国联基金管理有限公司持有人户数227.00
成立日期2021-02-09
总资产规模
303.06万 (2024-06-30)
基金类型混合型当前净值0.8544基金经理郑玲管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-3.98%
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国联行业先锋6个月持有混合C(010698) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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国联行业先锋6个月持有混合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
2024-12-230.85440.8544
2024-12-200.84950.8495
2024-12-190.85720.8572
2024-12-180.86040.8604
2024-12-170.85400.8540
2024-12-160.85120.8512
2024-12-130.85120.8512
2024-12-120.86390.8639
2024-12-110.85750.8575
2024-12-100.85440.8544
2024-12-090.85930.8593
2024-12-060.85170.8517
2024-12-050.84090.8409
2024-12-040.84580.8458
2024-12-030.83930.8393
2024-12-020.82990.8299
2024-11-290.82920.8292
2024-11-280.82750.8275
2024-11-270.83500.8350
2024-11-260.82560.8256
2024-11-250.82560.8256
2024-11-220.82550.8255
2024-11-210.84060.8406
2024-11-200.84880.8488
2024-11-190.84560.8456
2024-11-180.84100.8410
2024-11-150.83890.8389
2024-11-140.83950.8395
2024-11-130.84880.8488
2024-11-120.84010.8401
2024-11-110.84760.8476
2024-11-080.85840.8584
2024-11-070.86820.8682
2024-11-060.84900.8490
2024-11-050.86280.8628
2024-11-040.84900.8490
2024-11-010.84480.8448
2024-10-310.83570.8357
2024-10-300.83820.8382
2024-10-290.84490.8449
2024-10-280.85050.8505
2024-10-250.84990.8499
2024-10-240.85330.8533
2024-10-230.85800.8580
2024-10-220.85450.8545
2024-10-210.84840.8484
2024-10-180.85480.8548
2024-10-170.83550.8355
2024-10-160.84600.8460
2024-10-150.84730.8473