光大保德信优势配置混合C
(018077.jj)光大保德信基金管理有限公司持有人户数16.00
成立日期2023-03-13
总资产规模
9.90万 (2024-09-30)
基金类型混合型当前净值0.6303基金经理林晓凤管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-9.85%
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光大保德信优势配置混合C(018077) - 历史基金净值数据曲线

最后更新于:2024-12-23

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光大保德信优势配置混合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
2024-12-230.63030.6303
2024-12-200.63990.6399
2024-12-190.63310.6331
2024-12-180.62120.6212
2024-12-170.61160.6116
2024-12-160.61540.6154
2024-12-130.62410.6241
2024-12-120.63220.6322
2024-12-110.62840.6284
2024-12-100.62990.6299
2024-12-090.62510.6251
2024-12-060.62620.6262
2024-12-050.61770.6177
2024-12-040.61750.6175
2024-12-030.62250.6225
2024-12-020.62520.6252
2024-11-290.61780.6178
2024-11-280.60770.6077
2024-11-270.61390.6139
2024-11-260.60290.6029
2024-11-250.60950.6095
2024-11-220.61430.6143
2024-11-210.63060.6306
2024-11-200.62900.6290
2024-11-190.62630.6263
2024-11-180.61610.6161
2024-11-150.62450.6245
2024-11-140.64290.6429
2024-11-130.65790.6579
2024-11-120.65700.6570
2024-11-110.66970.6697
2024-11-080.66330.6633
2024-11-070.66030.6603
2024-11-060.65440.6544
2024-11-050.64940.6494
2024-11-040.63230.6323
2024-11-010.62030.6203
2024-10-310.62120.6212
2024-10-300.62900.6290
2024-10-290.63270.6327
2024-10-280.63230.6323
2024-10-250.62920.6292
2024-10-240.63130.6313
2024-10-230.64040.6404
2024-10-220.64020.6402
2024-10-210.63790.6379
2024-10-180.63470.6347
2024-10-170.62090.6209
2024-10-160.62620.6262
2024-10-150.62700.6270