中欧周期景气混合发起C
(014609.jj)中欧基金管理有限公司持有人户数1.03万
成立日期2022-01-05
总资产规模
283.33万 (2024-09-30)
基金类型混合型当前净值0.6184基金经理叶培培管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-14.95%
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中欧周期景气混合发起C(014609) - 历史基金净值数据曲线

最后更新于:2024-12-24

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中欧周期景气混合发起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
2024-12-240.61840.6184
2024-12-230.61360.6136
2024-12-200.61050.6105
2024-12-190.61990.6199
2024-12-180.62300.6230
2024-12-170.62370.6237
2024-12-160.62710.6271
2024-12-130.63180.6318
2024-12-120.65000.6500
2024-12-110.64650.6465
2024-12-100.63870.6387
2024-12-090.63900.6390
2024-12-060.63730.6373
2024-12-050.63300.6330
2024-12-040.63870.6387
2024-12-030.63310.6331
2024-12-020.63170.6317
2024-11-290.62990.6299
2024-11-280.62500.6250
2024-11-270.63180.6318
2024-11-260.62560.6256
2024-11-250.63260.6326
2024-11-220.63380.6338
2024-11-210.65300.6530
2024-11-200.65140.6514
2024-11-190.65020.6502
2024-11-180.63570.6357
2024-11-150.64010.6401
2024-11-140.64430.6443
2024-11-130.66080.6608
2024-11-120.65490.6549
2024-11-110.66760.6676
2024-11-080.67420.6742
2024-11-070.68010.6801
2024-11-060.67580.6758
2024-11-050.67960.6796
2024-11-040.66880.6688
2024-11-010.66510.6651
2024-10-310.65240.6524
2024-10-300.65840.6584
2024-10-290.66290.6629
2024-10-280.67360.6736
2024-10-250.67180.6718
2024-10-240.67390.6739
2024-10-230.67980.6798
2024-10-220.67940.6794
2024-10-210.67640.6764
2024-10-180.66740.6674
2024-10-170.65620.6562
2024-10-160.66550.6655