银河服务混合C
(018889.jj)银河基金管理有限公司持有人户数7.00
成立日期2023-07-28
总资产规模
1,291.27 (2024-09-30)
基金类型混合型当前净值1.4355基金经理施文琪管理费用率1.50%管托费用率0.25%成立以来分红再投入年化收益率-7.87%
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银河服务混合C(018889) - 历史基金净值数据曲线

最后更新于:2024-12-24

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银河服务混合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
2024-12-241.43551.4355
2024-12-231.41721.4172
2024-12-201.42791.4279
2024-12-191.41701.4170
2024-12-181.41661.4166
2024-12-171.41701.4170
2024-12-161.42861.4286
2024-12-131.44281.4428
2024-12-121.46101.4610
2024-12-111.43821.4382
2024-12-101.41231.4123
2024-12-091.37961.3796
2024-12-061.37971.3797
2024-12-051.37181.3718
2024-12-041.38001.3800
2024-12-031.38511.3851
2024-12-021.38311.3831
2024-11-291.36361.3636
2024-11-281.34231.3423
2024-11-271.35441.3544
2024-11-261.33741.3374
2024-11-251.33081.3308
2024-11-221.33371.3337
2024-11-211.37541.3754
2024-11-201.37631.3763
2024-11-191.37421.3742
2024-11-181.36101.3610
2024-11-151.37371.3737
2024-11-141.39201.3920
2024-11-131.40961.4096
2024-11-121.40781.4078
2024-11-111.40741.4074
2024-11-081.41521.4152
2024-11-071.43131.4313
2024-11-061.38601.3860
2024-11-051.39711.3971
2024-11-041.38351.3835
2024-11-011.36501.3650
2024-10-311.36501.3650
2024-10-301.38211.3821
2024-10-291.40391.4039
2024-10-281.41231.4123
2024-10-251.40001.4000
2024-10-241.38981.3898
2024-10-231.40011.4001
2024-10-221.39731.3973
2024-10-211.37581.3758
2024-10-181.37371.3737
2024-10-171.33941.3394
2024-10-161.35331.3533