国泰产业精选混合A
(018073.jj)国泰基金管理有限公司
成立日期2023-04-04
总资产规模
4.53亿 (2024-06-30)
基金类型混合型(封闭式)当前净值0.9111持有人户数2.02万基金经理王阳邱晓旭管理费用率1.50%管托费用率0.20%持仓换手率299.22% (2024-06-30) 成立以来分红再投入年化收益率-6.07%
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国泰产业精选混合A(018073) - 历史基金净值数据曲线

最后更新于:2024-09-30

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国泰产业精选混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-09-300.91110.9111
2024-09-270.84990.8499
2024-09-260.82160.8216
2024-09-250.80230.8023
2024-09-240.79980.7998
2024-09-230.78440.7844
2024-09-200.78600.7860
2024-09-190.78510.7851
2024-09-180.78380.7838
2024-09-130.77670.7767
2024-09-120.77980.7798
2024-09-110.78310.7831
2024-09-100.77500.7750
2024-09-090.77290.7729
2024-09-060.78070.7807
2024-09-050.79110.7911
2024-09-040.79020.7902
2024-09-030.79150.7915
2024-09-020.78840.7884
2024-08-300.79660.7966
2024-08-290.78540.7854
2024-08-280.77490.7749
2024-08-270.77650.7765
2024-08-260.78340.7834
2024-08-230.78420.7842
2024-08-220.78330.7833
2024-08-210.78090.7809
2024-08-200.78080.7808
2024-08-190.78610.7861
2024-08-160.78430.7843
2024-08-150.78770.7877
2024-08-140.78710.7871
2024-08-130.80060.8006
2024-08-120.79900.7990
2024-08-090.80040.8004
2024-08-080.80230.8023
2024-08-070.80260.8026
2024-08-060.79540.7954
2024-08-050.79190.7919
2024-08-020.80520.8052
2024-08-010.81910.8191
2024-07-310.82160.8216
2024-07-300.79900.7990
2024-07-290.80570.8057
2024-07-260.81550.8155
2024-07-250.80230.8023
2024-07-240.80630.8063
2024-07-230.81340.8134
2024-07-220.83360.8336
2024-07-190.83300.8330