前海开源沪港深优势精选混合C
(011871.jj)前海开源基金管理有限公司持有人户数3,540.00
成立日期2021-03-25
总资产规模
2,443.33万 (2024-09-30)
基金类型混合型当前净值0.5840基金经理曲扬管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-13.38%
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前海开源沪港深优势精选混合C(011871) - 历史基金净值数据曲线

最后更新于:2024-12-23

数据选项
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前海开源沪港深优势精选混合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
2024-12-230.58400.5840
2024-12-200.58300.5830
2024-12-190.58100.5810
2024-12-180.58000.5800
2024-12-170.57900.5790
2024-12-160.57800.5780
2024-12-130.58000.5800
2024-12-120.59100.5910
2024-12-110.58100.5810
2024-12-100.57800.5780
2024-12-090.57900.5790
2024-12-060.57400.5740
2024-12-050.56800.5680
2024-12-040.57100.5710
2024-12-030.57100.5710
2024-12-020.56600.5660
2024-11-290.56500.5650
2024-11-280.56300.5630
2024-11-270.57300.5730
2024-11-260.57100.5710
2024-11-250.56800.5680
2024-11-220.56600.5660
2024-11-210.57400.5740
2024-11-200.56800.5680
2024-11-190.56700.5670
2024-11-180.56500.5650
2024-11-150.56500.5650
2024-11-140.57000.5700
2024-11-130.58000.5800
2024-11-120.57800.5780
2024-11-110.58400.5840
2024-11-080.58800.5880
2024-11-070.59200.5920
2024-11-060.58200.5820
2024-11-050.58700.5870
2024-11-040.58100.5810
2024-11-010.57900.5790
2024-10-310.57700.5770
2024-10-300.58000.5800
2024-10-290.58400.5840
2024-10-280.59000.5900
2024-10-250.59200.5920
2024-10-240.59400.5940
2024-10-230.59800.5980
2024-10-220.60100.6010
2024-10-210.59700.5970
2024-10-180.59900.5990
2024-10-170.58200.5820
2024-10-160.58700.5870
2024-10-150.58700.5870