兴证全球欣越混合C
(017827.jj)兴证全球基金管理有限公司
成立日期2023-03-17
总资产规模
2.81亿 (2024-06-30)
基金类型混合型当前净值1.1038持有人户数5,700.00基金经理童兰管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率6.64%
备注 (0): 双击编辑备注
发表讨论

兴证全球欣越混合C(017827) - 历史基金净值数据曲线

最后更新于:2024-09-30

数据选项
加载中......
兴证全球欣越混合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
2024-09-301.10381.1038
2024-09-271.07201.0720
2024-09-261.04261.0426
2024-09-251.01411.0141
2024-09-241.01621.0162
2024-09-230.99560.9956
2024-09-200.99010.9901
2024-09-190.99000.9900
2024-09-180.97570.9757
2024-09-130.97050.9705
2024-09-120.96780.9678
2024-09-110.97080.9708
2024-09-100.97020.9702
2024-09-090.97090.9709
2024-09-060.98090.9809
2024-09-050.98300.9830
2024-09-040.97820.9782
2024-09-030.98030.9803
2024-09-020.97600.9760
2024-08-300.97850.9785
2024-08-290.97540.9754
2024-08-280.96280.9628
2024-08-270.97000.9700
2024-08-260.97230.9723
2024-08-230.97590.9759
2024-08-220.97200.9720
2024-08-210.97320.9732
2024-08-200.97590.9759
2024-08-190.98010.9801
2024-08-160.97700.9770
2024-08-150.98070.9807
2024-08-140.97890.9789
2024-08-130.98620.9862
2024-08-120.98370.9837
2024-08-090.98160.9816
2024-08-080.98060.9806
2024-08-070.97770.9777
2024-08-060.97030.9703
2024-08-050.97140.9714
2024-08-020.97710.9771
2024-08-010.98390.9839
2024-07-310.98870.9887
2024-07-300.96870.9687
2024-07-290.97830.9783
2024-07-260.98460.9846
2024-07-250.96380.9638
2024-07-240.96610.9661
2024-07-230.97230.9723
2024-07-220.98240.9824
2024-07-190.98160.9816