国融融泰混合A
(006601.jj ) 国融基金管理有限公司
基金类型混合型成立日期2019-01-30总资产规模207.63万 (2025-12-31) 基金净值0.7354 (2026-01-21) 基金经理贾雨璇顾喆彬管理费用率0.50%管托费用率0.10% (2025-06-30) 成立以来分红再投入年化收益率-3.51% (8304 / 8990)
备注 (0): 双击编辑备注
发表讨论

国融融泰混合A(006601) - 历史基金净值数据曲线

最后更新于:2026-01-21

数据选项
加载中......
国融融泰混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-210.73540.7954
2026-01-200.73540.7954
2026-01-190.73550.7955
2026-01-160.73550.7955
2026-01-150.73550.7955
2026-01-140.73550.7955
2026-01-130.73550.7955
2026-01-120.73550.7955
2026-01-090.73550.7955
2026-01-080.73550.7955
2026-01-070.73550.7955
2026-01-060.73550.7955
2026-01-050.73550.7955
2025-12-310.73550.7955
2025-12-300.73590.7959
2025-12-290.73580.7958
2025-12-260.73460.7946
2025-12-250.73280.7928
2025-12-240.73270.7927
2025-12-230.73250.7925
2025-12-220.73250.7925
2025-12-190.73230.7923
2025-12-180.73220.7922
2025-12-170.73210.7921
2025-12-160.73210.7921
2025-12-150.73210.7921
2025-12-120.73170.7917
2025-12-110.73160.7916
2025-12-100.73150.7915
2025-12-090.73150.7915
2025-12-080.73140.7914
2025-12-050.73120.7912
2025-12-040.73120.7912
2025-12-030.73120.7912
2025-12-020.73120.7912
2025-12-010.73120.7912
2025-11-280.73120.7912
2025-11-270.73120.7912
2025-11-260.73130.7913
2025-11-250.73130.7913
2025-11-240.73070.7907
2025-11-210.73070.7907
2025-11-200.73070.7907
2025-11-190.73070.7907
2025-11-180.73070.7907
2025-11-170.73070.7907
2025-11-140.73070.7907
2025-11-130.73010.7901
2025-11-120.72930.7893
2025-11-110.72930.7893