光大保德信创新生活混合C
(019252.jj)光大保德信基金管理有限公司持有人户数3.00
成立日期2023-09-15
总资产规模
3.20万 (2024-09-30)
基金类型混合型当前净值0.6648基金经理詹佳管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-9.75%
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光大保德信创新生活混合C(019252) - 历史基金净值数据曲线

最后更新于:2024-12-23

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光大保德信创新生活混合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
2024-12-230.66480.6648
2024-12-200.66670.6667
2024-12-190.66880.6688
2024-12-180.67000.6700
2024-12-170.66930.6693
2024-12-160.67030.6703
2024-12-130.67640.6764
2024-12-120.69250.6925
2024-12-110.68280.6828
2024-12-100.67660.6766
2024-12-090.67570.6757
2024-12-060.66770.6677
2024-12-050.65770.6577
2024-12-040.66150.6615
2024-12-030.66230.6623
2024-12-020.66240.6624
2024-11-290.66000.6600
2024-11-280.65430.6543
2024-11-270.66220.6622
2024-11-260.65090.6509
2024-11-250.65500.6550
2024-11-220.66010.6601
2024-11-210.67590.6759
2024-11-200.67900.6790
2024-11-190.67720.6772
2024-11-180.67520.6752
2024-11-150.68080.6808
2024-11-140.68470.6847
2024-11-130.69490.6949
2024-11-120.69300.6930
2024-11-110.69740.6974
2024-11-080.70310.7031
2024-11-070.70600.7060
2024-11-060.69190.6919
2024-11-050.70050.7005
2024-11-040.69460.6946
2024-11-010.69150.6915
2024-10-310.68990.6899
2024-10-300.69550.6955
2024-10-290.70360.7036
2024-10-280.71080.7108
2024-10-250.70700.7070
2024-10-240.70670.7067
2024-10-230.71400.7140
2024-10-220.71460.7146
2024-10-210.70730.7073
2024-10-180.71010.7101
2024-10-170.69470.6947
2024-10-160.70750.7075
2024-10-150.70570.7057