九泰久盛量化混合C
(004510.jj ) 九泰基金管理有限公司
基金类型混合型成立日期2017-05-16总资产规模14.52万 (2025-12-31) 基金净值1.0800 (2026-01-23) 基金经理袁多武管理费用率1.20%管托费用率0.20% (2025-12-31) 成立以来分红再投入年化收益率2.20% (6562 / 9002)
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九泰久盛量化混合C(004510) - 历史基金累计净值数据曲线

最后更新于:2026-01-23

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九泰久盛量化混合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
2026-01-231.08001.2610
2026-01-221.07701.2580
2026-01-211.07601.2570
2026-01-201.06701.2480
2026-01-191.06001.2410
2026-01-161.04801.2290
2026-01-151.05501.2360
2026-01-141.04901.2300
2026-01-131.05101.2320
2026-01-121.04601.2270
2026-01-091.03701.2180
2026-01-081.02601.2070
2026-01-071.03201.2130
2026-01-061.03501.2160
2026-01-051.02501.2060
2025-12-311.01001.1910
2025-12-301.01301.1940
2025-12-291.00801.1890
2025-12-261.01601.1970
2025-12-251.01101.1920
2025-12-241.00901.1900
2025-12-231.00901.1900
2025-12-221.00701.1880
2025-12-191.00401.1850
2025-12-180.99701.1780
2025-12-170.99601.1770
2025-12-160.98201.1630
2025-12-150.99401.1750
2025-12-120.99801.1790
2025-12-110.98601.1670
2025-12-100.98501.1660
2025-12-090.97601.1570
2025-12-080.98601.1670
2025-12-050.99101.1720
2025-12-040.97901.1600
2025-12-030.98101.1620
2025-12-020.97901.1600
2025-12-010.98801.1690
2025-11-280.97901.1600
2025-11-270.97501.1560
2025-11-260.97501.1560
2025-11-250.97301.1540
2025-11-240.96501.1460
2025-11-210.96101.1420
2025-11-200.97701.1580
2025-11-190.98001.1610
2025-11-180.97601.1570
2025-11-170.98401.1650
2025-11-140.99501.1760
2025-11-131.00701.1880