国联产业升级混合
(001701.jj ) 国联基金管理有限公司
基金经理辛鹏基金类型混合型成立日期2016-03-18总资产规模9,915.96万 (2026-06-30) 基金净值2.7530 (2026-09-03) 管理费用率1.20%管托费用率0.20% (2026-08-20) 持仓换手率434.80% (2026-06-30) 成立以来分红再投入年化收益率12.59% (1575 / 9423)
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国联产业升级混合(001701) - 历史基金净值数据曲线

最后更新于:2026-09-03

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国联产业升级混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-09-032.75303.2830
2026-09-022.80103.3310
2026-09-012.79803.3280
2026-08-312.90803.4380
2026-08-282.83103.3610
2026-08-272.84303.3730
2026-08-262.68803.2180
2026-08-252.64003.1700
2026-08-242.62003.1500
2026-08-212.71703.2470
2026-08-202.65503.1850
2026-08-192.64403.1740
2026-08-182.87503.4050
2026-08-172.93103.4610
2026-08-142.84403.3740
2026-08-132.75803.2880
2026-08-122.81803.3480
2026-08-112.74003.2700
2026-08-102.75403.2840
2026-08-072.78703.3170
2026-08-062.59403.1240
2026-08-052.52903.0590
2026-08-042.37102.9010
2026-08-032.21502.7450
2026-07-312.28502.8150
2026-07-302.20602.7360
2026-07-292.33602.8660
2026-07-282.37302.9030
2026-07-272.56803.0980
2026-07-242.44002.9700
2026-07-232.51103.0410
2026-07-222.51903.0490
2026-07-212.63903.1690
2026-07-202.46202.9920
2026-07-172.70003.2300
2026-07-162.95503.4850
2026-07-153.07303.6030
2026-07-143.18503.7150
2026-07-132.97003.5000
2026-07-103.18503.7150
2026-07-093.34103.8710
2026-07-083.18403.7140
2026-07-073.30603.8360
2026-07-063.36703.8970
2026-07-033.55304.0830
2026-07-023.47604.0060
2026-07-013.69304.2230
2026-06-303.83104.3610
2026-06-293.70804.2380
2026-06-263.85804.3880