长盛城镇化主题混合C
(018933.jj)长盛基金管理有限公司持有人户数2,885.00
成立日期2023-07-24
总资产规模
6,997.41万 (2024-09-30)
基金类型混合型当前净值1.5847基金经理代毅管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率3.97%
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长盛城镇化主题混合C(018933) - 历史基金累计净值数据曲线

最后更新于:2024-12-26

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长盛城镇化主题混合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
2024-12-261.58471.5847
2024-12-251.52621.5262
2024-12-241.51091.5109
2024-12-231.51111.5111
2024-12-201.51971.5197
2024-12-191.45881.4588
2024-12-181.43961.4396
2024-12-171.43801.4380
2024-12-161.45921.4592
2024-12-131.47181.4718
2024-12-121.48311.4831
2024-12-111.46701.4670
2024-12-101.44791.4479
2024-12-091.44111.4411
2024-12-061.45261.4526
2024-12-051.46951.4695
2024-12-041.42661.4266
2024-12-031.44261.4426
2024-12-021.46411.4641
2024-11-291.42651.4265
2024-11-281.38341.3834
2024-11-271.39861.3986
2024-11-261.35751.3575
2024-11-251.36011.3601
2024-11-221.39271.3927
2024-11-211.45711.4571
2024-11-201.45331.4533
2024-11-191.42841.4284
2024-11-181.37701.3770
2024-11-151.41581.4158
2024-11-141.50301.5030
2024-11-131.58391.5839
2024-11-121.55861.5586
2024-11-111.58881.5888
2024-11-081.56971.5697
2024-11-071.56581.5658
2024-11-061.52631.5263
2024-11-051.52781.5278
2024-11-041.46531.4653
2024-11-011.43271.4327
2024-10-311.45931.4593
2024-10-301.45971.4597
2024-10-291.42981.4298
2024-10-281.44681.4468
2024-10-251.45601.4560
2024-10-241.44151.4415
2024-10-231.42291.4229
2024-10-221.45061.4506
2024-10-211.45251.4525
2024-10-181.39711.3971