国联策略优选混合C
(006315.jj )
基金经理王喆叶天垚基金类型混合型成立日期2019-05-08总资产规模15.18亿 (2026-06-30) 基金净值2.9234 (2026-09-18) 管理费用率1.20%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率19.08% (758 / 9467)
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国联策略优选混合C(006315) - 历史基金累计净值数据曲线

最后更新于:2026-09-18

数据选项
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国联策略优选混合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
2026-09-182.92343.3254
2026-09-172.86623.2682
2026-09-162.85243.2544
2026-09-152.79693.1989
2026-09-142.81063.2126
2026-09-112.82223.2242
2026-09-102.88143.2834
2026-09-092.92353.3255
2026-09-082.92113.3231
2026-09-072.90693.3089
2026-09-042.89173.2937
2026-09-032.94383.3458
2026-09-022.92383.3258
2026-09-012.97003.3720
2026-08-313.02213.4241
2026-08-282.97813.3801
2026-08-273.00563.4076
2026-08-262.92063.3226
2026-08-252.92003.3220
2026-08-242.91833.3203
2026-08-212.99303.3950
2026-08-202.98503.3870
2026-08-192.96483.3668
2026-08-183.10683.5088
2026-08-173.09903.5010
2026-08-142.99533.3973
2026-08-132.96253.3645
2026-08-123.00253.4045
2026-08-112.98793.3899
2026-08-103.02113.4231
2026-08-073.00193.4039
2026-08-062.94543.3474
2026-08-052.94053.3425
2026-08-042.86233.2643
2026-08-032.81723.2192
2026-07-312.83993.2419
2026-07-302.77863.1806
2026-07-292.81373.2157
2026-07-282.76743.1694
2026-07-272.85173.2537
2026-07-242.77013.1721
2026-07-232.86983.2718
2026-07-222.82823.2302
2026-07-212.85453.2565
2026-07-202.73873.1407
2026-07-172.79153.1935
2026-07-162.95733.3593
2026-07-153.02543.4274
2026-07-143.07523.4772
2026-07-133.00723.4092