中信保诚至裕混合C
(003283.jj ) 中信保诚基金管理有限公司
基金类型混合型成立日期2016-09-29总资产规模1.26亿 (2025-12-31) 基金净值1.3218 (2026-04-07) 基金经理韩海平管理费用率0.60%管托费用率0.10% (2025-11-28) 成立以来分红再投入年化收益率2.97% (5313 / 9093)
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中信保诚至裕混合C(003283) - 历史基金净值数据曲线

最后更新于:2026-04-07

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中信保诚至裕混合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
2026-04-071.32181.3218
2026-04-031.32081.3208
2026-04-021.32151.3215
2026-04-011.32161.3216
2026-03-311.32061.3206
2026-03-301.32151.3215
2026-03-271.32021.3202
2026-03-261.31911.3191
2026-03-251.31891.3189
2026-03-241.31911.3191
2026-03-231.31901.3190
2026-03-201.32021.3202
2026-03-191.32011.3201
2026-03-181.31931.3193
2026-03-171.31971.3197
2026-03-161.32001.3200
2026-03-131.32011.3201
2026-03-121.32051.3205
2026-03-111.31991.3199
2026-03-101.31861.3186
2026-03-091.31861.3186
2026-03-061.31891.3189
2026-03-051.31841.3184
2026-03-041.31811.3181
2026-03-031.31831.3183
2026-03-021.31861.3186
2026-02-271.31501.3150
2026-02-261.31411.3141
2026-02-251.31541.3154
2026-02-241.31491.3149
2026-02-131.31191.3119
2026-02-121.31441.3144
2026-02-111.31461.3146
2026-02-101.31351.3135
2026-02-091.31291.3129
2026-02-061.31191.3119
2026-02-051.31131.3113
2026-02-041.31201.3120
2026-02-031.30971.3097
2026-02-021.30871.3087
2026-01-301.31261.3126
2026-01-291.31391.3139
2026-01-281.31241.3124
2026-01-271.30961.3096
2026-01-261.31081.3108
2026-01-231.30831.3083
2026-01-221.30871.3087
2026-01-211.30791.3079
2026-01-201.30801.3080
2026-01-191.30581.3058