长信先进装备三个月持有混合C
(014145.jj)长信基金管理有限责任公司持有人户数2,349.00
成立日期2021-11-29
总资产规模
8,099.62万 (2024-09-30)
基金类型混合型当前净值0.6862基金经理宋海岸管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-11.59%
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长信先进装备三个月持有混合C(014145) - 历史基金净值数据曲线

最后更新于:2024-12-20

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长信先进装备三个月持有混合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
2024-12-200.68620.6862
2024-12-190.68760.6876
2024-12-180.68260.6826
2024-12-170.68090.6809
2024-12-160.68040.6804
2024-12-130.68190.6819
2024-12-120.68850.6885
2024-12-110.68420.6842
2024-12-100.67800.6780
2024-12-090.67370.6737
2024-12-060.67730.6773
2024-12-050.66570.6657
2024-12-040.66690.6669
2024-12-030.67150.6715
2024-12-020.67200.6720
2024-11-290.66300.6630
2024-11-280.65600.6560
2024-11-270.66360.6636
2024-11-260.64870.6487
2024-11-250.65340.6534
2024-11-220.65570.6557
2024-11-210.67750.6775
2024-11-200.67840.6784
2024-11-190.67610.6761
2024-11-180.66760.6676
2024-11-150.68100.6810
2024-11-140.68780.6878
2024-11-130.70630.7063
2024-11-120.70100.7010
2024-11-110.70250.7025
2024-11-080.69050.6905
2024-11-070.69330.6933
2024-11-060.68580.6858
2024-11-050.69300.6930
2024-11-040.67680.6768
2024-11-010.66730.6673
2024-10-310.67450.6745
2024-10-300.67280.6728
2024-10-290.67380.6738
2024-10-280.67610.6761
2024-10-250.67820.6782
2024-10-240.67490.6749
2024-10-230.68370.6837
2024-10-220.68310.6831
2024-10-210.67780.6778
2024-10-180.67340.6734
2024-10-170.64360.6436
2024-10-160.64510.6451
2024-10-150.65490.6549
2024-10-140.67210.6721