泰康景泰回报混合C
(005015.jj )
基金经理宋仁杰基金类型混合型成立日期2017-12-13总资产规模1.15亿 (2026-06-30) 基金净值1.7737 (2026-09-14) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率6.77% (3296 / 9450)
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泰康景泰回报混合C(005015) - 历史基金累计净值数据曲线

最后更新于:2026-09-14

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泰康景泰回报混合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
2026-09-141.77371.7737
2026-09-111.77171.7717
2026-09-101.77921.7792
2026-09-091.78491.7849
2026-09-081.78771.7877
2026-09-071.78581.7858
2026-09-041.78831.7883
2026-09-031.78701.7870
2026-09-021.78901.7890
2026-09-011.79441.7944
2026-08-311.79141.7914
2026-08-281.79241.7924
2026-08-271.78621.7862
2026-08-261.78391.7839
2026-08-251.78421.7842
2026-08-241.78461.7846
2026-08-211.78291.7829
2026-08-201.78761.7876
2026-08-191.78151.7815
2026-08-181.78721.7872
2026-08-171.78761.7876
2026-08-141.78061.7806
2026-08-131.78161.7816
2026-08-121.78441.7844
2026-08-111.78271.7827
2026-08-101.78681.7868
2026-08-071.77571.7757
2026-08-061.77321.7732
2026-08-051.77391.7739
2026-08-041.76931.7693
2026-08-031.77491.7749
2026-07-311.77741.7774
2026-07-301.77571.7757
2026-07-291.76981.7698
2026-07-281.76051.7605
2026-07-271.75841.7584
2026-07-241.74251.7425
2026-07-231.75341.7534
2026-07-221.74951.7495
2026-07-211.74841.7484
2026-07-201.74881.7488
2026-07-171.73971.7397
2026-07-161.75161.7516
2026-07-151.75391.7539
2026-07-141.74661.7466
2026-07-131.73931.7393
2026-07-101.74271.7427
2026-07-091.74121.7412
2026-07-081.74641.7464
2026-07-071.74891.7489