国寿安保稳泰一年定开混合C
(004773.jj )
基金经理吴闻基金类型混合型成立日期2017-08-22总资产规模649.45万 (2026-06-30) 基金净值1.4448 (2026-08-28) 管理费用率0.60%管托费用率0.15% (2026-05-30)
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国寿安保稳泰一年定开混合C(004773) - 历史基金净值数据曲线

最后更新于:2026-08-28

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国寿安保稳泰一年定开混合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
2026-08-281.44481.6328
2026-08-271.44511.6331
2026-08-261.44461.6326
2026-08-251.44401.6320
2026-08-241.44531.6333
2026-08-211.44661.6346
2026-08-141.44681.6348
2026-08-071.44661.6346
2026-07-311.44211.6301
2026-07-241.44101.6290
2026-07-171.44021.6282
2026-07-101.45331.6413
2026-07-031.46541.6534
2026-06-301.50081.6888
2026-06-261.48611.6741
2026-06-181.48311.6711
2026-06-121.44821.6362
2026-06-051.45161.6396
2026-05-291.45321.6412
2026-05-221.45241.6404
2026-05-151.44801.6360
2026-05-081.45631.6443
2026-04-301.44801.6360
2026-04-241.44871.6367
2026-04-171.44611.6341
2026-04-101.44101.6290
2026-04-031.43461.6226
2026-03-271.43531.6233
2026-03-201.43691.6249
2026-03-131.45401.6420
2026-03-061.46471.6527
2026-02-271.48001.6680
2026-02-131.45371.6417
2026-02-061.45331.6413
2026-01-301.46751.6555
2026-01-231.48371.6717
2026-01-161.46191.6499
2026-01-091.45611.6441
2025-12-311.41751.6055
2025-12-261.41941.6074
2025-12-191.40661.5946
2025-12-121.40661.5946
2025-12-051.40481.5928
2025-11-281.40581.5938
2025-11-211.39481.5828
2025-11-141.42731.6153
2025-11-071.42911.6171
2025-10-311.41581.6038
2025-10-241.40941.5974
2025-10-171.39241.5804