国泰君安新材料混合发起A
(018983.jj)上海国泰君安证券资产管理有限公司持有人户数17.00
成立日期2023-09-19
总资产规模
859.85万 (2024-09-30)
基金类型混合型当前净值0.9512基金经理冯自力管理费用率1.20%管托费用率0.20%持仓换手率300.71% (2024-06-30) 成立以来分红再投入年化收益率-4.30%
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国泰君安新材料混合发起A(018983) - 历史基金净值数据曲线

最后更新于:2024-11-08

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国泰君安新材料混合发起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
2024-11-080.95120.9512
2024-11-070.95010.9501
2024-11-060.93760.9376
2024-11-050.94290.9429
2024-11-040.92770.9277
2024-11-010.91960.9196
2024-10-310.92450.9245
2024-10-300.92270.9227
2024-10-290.91920.9192
2024-10-280.93000.9300
2024-10-250.91570.9157
2024-10-240.89490.8949
2024-10-230.90690.9069
2024-10-220.90670.9067
2024-10-210.89570.8957
2024-10-180.89240.8924
2024-10-170.86500.8650
2024-10-160.86940.8694
2024-10-150.87240.8724
2024-10-140.88610.8861
2024-10-110.86790.8679
2024-10-100.89840.8984
2024-10-090.89550.8955
2024-10-080.97350.9735
2024-09-300.92100.9210
2024-09-270.84370.8437
2024-09-260.80590.8059
2024-09-250.77910.7791
2024-09-240.77860.7786
2024-09-230.75070.7507
2024-09-200.75050.7505
2024-09-190.75330.7533
2024-09-180.74750.7475
2024-09-130.75180.7518
2024-09-120.75830.7583
2024-09-110.76540.7654
2024-09-100.76520.7652
2024-09-090.76260.7626
2024-09-060.76900.7690
2024-09-050.78200.7820
2024-09-040.78190.7819
2024-09-030.78430.7843
2024-09-020.77980.7798
2024-08-300.79620.7962
2024-08-290.78840.7884
2024-08-280.77800.7780
2024-08-270.77880.7788
2024-08-260.78470.7847
2024-08-230.77880.7788
2024-08-220.78120.7812