富安达产业优选混合C
(017049.jj)富安达基金管理有限公司持有人户数163.00
成立日期2023-03-01
总资产规模
867.28万 (2024-09-30)
基金类型混合型当前净值0.5936基金经理杨红管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-24.86%
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富安达产业优选混合C(017049) - 历史基金净值数据曲线

最后更新于:2024-12-26

数据选项
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富安达产业优选混合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
2024-12-260.59360.5936
2024-12-250.57890.5789
2024-12-240.58540.5854
2024-12-230.57850.5785
2024-12-200.59070.5907
2024-12-190.57990.5799
2024-12-180.57710.5771
2024-12-170.57620.5762
2024-12-160.58210.5821
2024-12-130.59300.5930
2024-12-120.60480.6048
2024-12-110.60290.6029
2024-12-100.60620.6062
2024-12-090.59860.5986
2024-12-060.60210.6021
2024-12-050.59680.5968
2024-12-040.59080.5908
2024-12-030.60050.6005
2024-12-020.60580.6058
2024-11-290.59930.5993
2024-11-280.58920.5892
2024-11-270.59430.5943
2024-11-260.58160.5816
2024-11-250.58990.5899
2024-11-220.59260.5926
2024-11-210.61590.6159
2024-11-200.61990.6199
2024-11-190.61590.6159
2024-11-180.59710.5971
2024-11-150.61350.6135
2024-11-140.63180.6318
2024-11-130.64990.6499
2024-11-120.64240.6424
2024-11-110.65730.6573
2024-11-080.64020.6402
2024-11-070.63490.6349
2024-11-060.62910.6291
2024-11-050.63310.6331
2024-11-040.61500.6150
2024-11-010.60140.6014
2024-10-310.61960.6196
2024-10-300.61760.6176
2024-10-290.61980.6198
2024-10-280.63170.6317
2024-10-250.63840.6384
2024-10-240.63040.6304
2024-10-230.63020.6302
2024-10-220.64120.6412
2024-10-210.63690.6369
2024-10-180.62830.6283