长盛盛丰混合C
(003642.jj )
基金经理杨衡基金类型混合型成立日期2016-11-18总资产规模8,464.82万 (2026-06-30) 基金净值1.6960 (2026-09-16) 管理费用率0.60%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率6.02% (3705 / 9454)
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长盛盛丰混合C(003642) - 历史基金净值数据曲线

最后更新于:2026-09-16

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长盛盛丰混合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
2026-09-161.69601.7440
2026-09-151.66991.7179
2026-09-141.67151.7195
2026-09-111.67381.7218
2026-09-101.70591.7539
2026-09-091.71861.7666
2026-09-081.71961.7676
2026-09-071.71881.7668
2026-09-041.69751.7455
2026-09-031.72601.7740
2026-09-021.71991.7679
2026-09-011.74811.7961
2026-08-311.76821.8162
2026-08-281.75471.8027
2026-08-271.76331.8113
2026-08-261.72611.7741
2026-08-251.71391.7619
2026-08-241.71081.7588
2026-08-211.74811.7961
2026-08-201.74571.7937
2026-08-191.73211.7801
2026-08-181.82801.8760
2026-08-171.83221.8802
2026-08-141.78841.8364
2026-08-131.77661.8246
2026-08-121.79901.8470
2026-08-111.78151.8295
2026-08-101.79601.8440
2026-08-071.79151.8395
2026-08-061.74851.7965
2026-08-051.74641.7944
2026-08-041.68911.7371
2026-08-031.64001.6880
2026-07-311.66711.7151
2026-07-301.62201.6700
2026-07-291.67011.7181
2026-07-281.65971.7077
2026-07-271.72451.7725
2026-07-241.68271.7307
2026-07-231.72361.7716
2026-07-221.72891.7769
2026-07-211.74161.7896
2026-07-201.63821.6862
2026-07-171.66971.7177
2026-07-161.77191.8199
2026-07-151.81571.8637
2026-07-141.85661.9046
2026-07-131.82261.8706
2026-07-101.91391.9619
2026-07-091.94291.9909