万家新兴蓝筹C
(022714.jj ) 万家基金管理有限公司
基金类型混合型成立日期2024-11-27总资产规模3.44亿 (2025-03-31) 基金净值2.4551 (2025-05-08) 基金经理莫海波管理费用率1.20%管托费用率0.20% (2024-12-31) 成立以来分红再投入年化收益率-12.97%
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万家新兴蓝筹C(022714) - 历史基金累计净值数据曲线

最后更新于:2025-05-08

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万家新兴蓝筹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
2025-05-082.45512.4551
2025-05-072.43512.4351
2025-05-062.43752.4375
2025-04-302.39132.3913
2025-04-292.35412.3541
2025-04-282.33452.3345
2025-04-252.33642.3364
2025-04-242.33172.3317
2025-04-232.36752.3675
2025-04-222.33152.3315
2025-04-212.34872.3487
2025-04-182.31472.3147
2025-04-172.31772.3177
2025-04-162.31802.3180
2025-04-152.31712.3171
2025-04-142.33582.3358
2025-04-112.32042.3204
2025-04-102.28602.2860
2025-04-092.23672.2367
2025-04-082.18962.1896
2025-04-072.18882.1888
2025-04-032.41642.4164
2025-04-022.44902.4490
2025-04-012.43832.4383
2025-03-312.45262.4526
2025-03-282.45892.4589
2025-03-272.47902.4790
2025-03-262.49222.4922
2025-03-252.49302.4930
2025-03-242.52372.5237
2025-03-212.49492.4949
2025-03-202.57072.5707
2025-03-192.59982.5998
2025-03-182.64282.6428
2025-03-172.61852.6185
2025-03-142.63102.6310
2025-03-132.58312.5831
2025-03-122.63402.6340
2025-03-112.61192.6119
2025-03-102.63442.6344
2025-03-072.64532.6453
2025-03-062.67422.6742
2025-03-052.59982.5998
2025-03-042.59092.5909
2025-03-032.57542.5754
2025-02-282.60552.6055
2025-02-272.73452.7345
2025-02-262.79362.7936
2025-02-252.75842.7584
2025-02-242.78952.7895