大成标普500等权重指数(QDII)C美元
(015545.jj)大成基金管理有限公司
成立日期2023-08-30基金类型指数型基金当前净值0.3509基金经理冉凌浩管理费用率1.00%管托费用率0.25%成立以来分红再投入年化收益率9.31%
备注 (0): 双击编辑备注
发表讨论

大成标普500等权重指数(QDII)C美元(015545) - 历史基金累计净值数据曲线

最后更新于:2024-07-30

数据选项
加载中......
大成标普500等权重指数(QDII)C美元历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-300.35090.3606
2024-07-290.34950.3592
2024-07-260.34910.3588
2024-07-250.34440.3541
2024-07-240.34410.3538
2024-07-230.34800.3577
2024-07-220.34910.3588
2024-07-190.34650.3562
2024-07-180.34880.3585
2024-07-170.35170.3614
2024-07-160.35290.3626
2024-07-150.34720.3569
2024-07-120.34680.3565
2024-07-110.34420.3539
2024-07-100.34050.3502
2024-07-090.33770.3474
2024-07-080.33820.3479
2024-07-050.33770.3474
2024-07-040.33790.3476
2024-07-030.33800.3477
2024-07-020.33770.3474
2024-07-010.33650.3462
2024-06-280.33890.3486
2024-06-270.33870.3484
2024-06-260.33840.3481
2024-06-250.33960.3493
2024-06-240.34190.3516
2024-06-210.34030.3500
2024-06-200.33990.3496
2024-06-190.33970.3494
2024-06-180.33980.3495
2024-06-170.33890.3486
2024-06-140.33680.3465
2024-06-130.33890.3486
2024-06-120.33980.3495
2024-06-110.33810.3478
2024-06-070.33860.3483
2024-06-060.33960.3493
2024-06-050.34030.3500
2024-06-040.33830.3480
2024-06-030.33930.3490
2024-05-310.34090.3506
2024-05-300.33680.3465
2024-05-290.33550.3452
2024-05-280.33920.3489
2024-05-270.34150.3512
2024-05-240.34160.3513
2024-05-230.33940.3491
2024-05-220.34400.3537
2024-05-210.34500.3547