长城产业趋势混合C
(014789.jj)长城基金管理有限公司持有人户数570.00
成立日期2022-08-02
总资产规模
2,432.91万 (2024-09-30)
基金类型混合型当前净值0.7393基金经理陈良栋管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-11.91%
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长城产业趋势混合C(014789) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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长城产业趋势混合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
2024-12-200.73930.7393
2024-12-190.73950.7395
2024-12-180.73950.7395
2024-12-170.73780.7378
2024-12-160.73630.7363
2024-12-130.74820.7482
2024-12-120.76110.7611
2024-12-110.75480.7548
2024-12-100.75300.7530
2024-12-090.74630.7463
2024-12-060.73970.7397
2024-12-050.73530.7353
2024-12-040.73330.7333
2024-12-030.73950.7395
2024-12-020.73780.7378
2024-11-290.73050.7305
2024-11-280.71620.7162
2024-11-270.72550.7255
2024-11-260.71230.7123
2024-11-250.72310.7231
2024-11-220.72320.7232
2024-11-210.74430.7443
2024-11-200.74790.7479
2024-11-190.74410.7441
2024-11-180.72430.7243
2024-11-150.73420.7342
2024-11-140.75410.7541
2024-11-130.77070.7707
2024-11-120.77310.7731
2024-11-110.78020.7802
2024-11-080.75770.7577
2024-11-070.75190.7519
2024-11-060.74590.7459
2024-11-050.74470.7447
2024-11-040.72830.7283
2024-11-010.71570.7157
2024-10-310.72480.7248
2024-10-300.73030.7303
2024-10-290.73690.7369
2024-10-280.74310.7431
2024-10-250.74490.7449
2024-10-240.74040.7404
2024-10-230.74710.7471
2024-10-220.75020.7502
2024-10-210.74510.7451
2024-10-180.74610.7461
2024-10-170.72280.7228
2024-10-160.72470.7247
2024-10-150.73190.7319
2024-10-140.74530.7453