永赢新能源智选混合发起C
(015829.jj)永赢基金管理有限公司持有人户数4,281.00
成立日期2022-06-17
总资产规模
1,783.74万 (2024-09-30)
基金类型混合型当前净值0.3914基金经理张璐胡泽管理费用率1.20%管托费用率0.10%成立以来分红再投入年化收益率-31.12%
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永赢新能源智选混合发起C(015829) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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永赢新能源智选混合发起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
2024-12-230.39140.3914
2024-12-200.39530.3953
2024-12-190.39510.3951
2024-12-180.39670.3967
2024-12-170.39720.3972
2024-12-160.40350.4035
2024-12-130.40680.4068
2024-12-120.41660.4166
2024-12-110.41470.4147
2024-12-100.41510.4151
2024-12-090.41750.4175
2024-12-060.42130.4213
2024-12-050.42040.4204
2024-12-040.41950.4195
2024-12-030.43100.4310
2024-12-020.43080.4308
2024-11-290.42530.4253
2024-11-280.41730.4173
2024-11-270.41790.4179
2024-11-260.40880.4088
2024-11-250.41240.4124
2024-11-220.40880.4088
2024-11-210.42600.4260
2024-11-200.42880.4288
2024-11-190.43090.4309
2024-11-180.41650.4165
2024-11-150.42720.4272
2024-11-140.44450.4445
2024-11-130.45480.4548
2024-11-120.45170.4517
2024-11-110.45810.4581
2024-11-080.44630.4463
2024-11-070.44390.4439
2024-11-060.44880.4488
2024-11-050.45030.4503
2024-11-040.43860.4386
2024-11-010.42930.4293
2024-10-310.44270.4427
2024-10-300.43330.4333
2024-10-290.43000.4300
2024-10-280.44170.4417
2024-10-250.44250.4425
2024-10-240.42030.4203
2024-10-230.43520.4352
2024-10-220.43060.4306
2024-10-210.42410.4241
2024-10-180.42130.4213
2024-10-170.40520.4052
2024-10-160.40820.4082
2024-10-150.41430.4143