九泰久益混合C
(001844.jj )
基金经理刘开运于智伟基金类型混合型成立日期2017-01-25总资产规模735.73万 (2026-06-30) 基金净值2.4010 (2026-09-04) 管理费用率1.00%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率10.95% (1947 / 9429)
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九泰久益混合C(001844) - 历史基金净值数据曲线

最后更新于:2026-09-04

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九泰久益混合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
2026-09-042.40102.5350
2026-09-032.38102.5150
2026-09-022.35602.4900
2026-09-012.39002.5240
2026-08-312.40302.5370
2026-08-282.39402.5280
2026-08-272.38102.5150
2026-08-262.37602.5100
2026-08-252.34902.4830
2026-08-242.35202.4860
2026-08-212.34702.4810
2026-08-202.36502.4990
2026-08-192.35302.4870
2026-08-182.32002.4540
2026-08-172.31102.4450
2026-08-142.32002.4540
2026-08-132.32402.4580
2026-08-122.34102.4750
2026-08-112.34102.4750
2026-08-102.35902.4930
2026-08-072.32202.4560
2026-08-062.34202.4760
2026-08-052.32202.4560
2026-08-042.32902.4630
2026-08-032.37002.5040
2026-07-312.36902.5030
2026-07-302.40402.5380
2026-07-292.38102.5150
2026-07-282.32502.4590
2026-07-272.30702.4410
2026-07-242.28402.4180
2026-07-232.31802.4520
2026-07-222.32502.4590
2026-07-212.29702.4310
2026-07-202.30102.4350
2026-07-172.22302.3570
2026-07-162.25002.3840
2026-07-152.24302.3770
2026-07-142.19102.3250
2026-07-132.16402.2980
2026-07-102.16802.3020
2026-07-092.15102.2850
2026-07-082.17702.3110
2026-07-072.18402.3180
2026-07-062.20502.3390
2026-07-032.17002.3040
2026-07-022.15502.2890
2026-07-012.14402.2780
2026-06-302.12302.2570
2026-06-292.16302.2970