南华丰汇混合C
(021526.jj)南华基金管理有限公司持有人户数48.00
成立日期2024-05-28
总资产规模
83.90万 (2024-09-30)
基金类型混合型当前净值1.2914基金经理黄志钢管理费用率0.60%管托费用率0.10%成立以来分红再投入年化收益率11.30%
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南华丰汇混合C(021526) - 历史基金累计净值数据曲线

最后更新于:2024-12-25

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南华丰汇混合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
2024-12-251.29141.2914
2024-12-241.30601.3060
2024-12-231.28761.2876
2024-12-201.31131.3113
2024-12-191.30581.3058
2024-12-181.30261.3026
2024-12-171.29921.2992
2024-12-161.32681.3268
2024-12-131.33441.3344
2024-12-121.35231.3523
2024-12-111.34071.3407
2024-12-101.32741.3274
2024-12-091.32331.3233
2024-12-061.32001.3200
2024-12-051.30651.3065
2024-12-041.30331.3033
2024-12-031.31841.3184
2024-12-021.31221.3122
2024-11-291.29301.2930
2024-11-281.27791.2779
2024-11-271.27771.2777
2024-11-261.26571.2657
2024-11-251.26811.2681
2024-11-221.25271.2527
2024-11-211.28841.2884
2024-11-201.28871.2887
2024-11-191.27731.2773
2024-11-181.25931.2593
2024-11-151.26521.2652
2024-11-141.27801.2780
2024-11-131.30311.3031
2024-11-121.30521.3052
2024-11-111.31291.3129
2024-11-081.29601.2960
2024-11-071.30101.3010
2024-11-061.27921.2792
2024-11-051.28101.2810
2024-11-041.26101.2610
2024-11-011.24141.2414
2024-10-311.25471.2547
2024-10-301.25271.2527
2024-10-291.25371.2537
2024-10-281.27121.2712
2024-10-251.25401.2540
2024-10-241.24101.2410
2024-10-231.24891.2489
2024-10-221.24441.2444
2024-10-211.23241.2324
2024-10-181.21391.2139
2024-10-171.18731.1873