景顺长城鑫景产业精选一年持有期混合C
(015163.jj)景顺长城基金管理有限公司
成立日期2022-10-21
总资产规模
678.62万 (2024-06-30)
基金类型混合型当前净值0.7829基金经理詹成管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率-12.34%
备注 (0): 双击编辑备注
发表讨论

景顺长城鑫景产业精选一年持有期混合C(015163) - 历史基金累计净值数据曲线

最后更新于:2024-08-30

数据选项
加载中......
景顺长城鑫景产业精选一年持有期混合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
2024-08-300.78290.7829
2024-08-290.76430.7643
2024-08-280.75440.7544
2024-08-270.75690.7569
2024-08-260.76290.7629
2024-08-230.76400.7640
2024-08-220.76400.7640
2024-08-210.76640.7664
2024-08-200.76340.7634
2024-08-190.77030.7703
2024-08-160.77410.7741
2024-08-150.77430.7743
2024-08-140.77170.7717
2024-08-130.78210.7821
2024-08-120.78100.7810
2024-08-090.77940.7794
2024-08-080.77960.7796
2024-08-070.77860.7786
2024-08-060.77390.7739
2024-08-050.76170.7617
2024-08-020.78020.7802
2024-08-010.79200.7920
2024-07-310.80290.8029
2024-07-300.77560.7756
2024-07-290.78080.7808
2024-07-260.78780.7878
2024-07-250.77750.7775
2024-07-240.78830.7883
2024-07-230.80350.8035
2024-07-220.83220.8322
2024-07-190.83280.8328
2024-07-180.83430.8343
2024-07-170.83170.8317
2024-07-160.83760.8376
2024-07-150.82760.8276
2024-07-120.83510.8351
2024-07-110.83390.8339
2024-07-100.82370.8237
2024-07-090.82200.8220
2024-07-080.79700.7970
2024-07-050.80600.8060
2024-07-040.80420.8042
2024-07-030.80690.8069
2024-07-020.80810.8081
2024-07-010.81780.8178
2024-06-280.81410.8141
2024-06-270.81140.8114
2024-06-260.82270.8227
2024-06-250.81530.8153
2024-06-240.82660.8266