国融融泰混合C
(006602.jj )
基金经理贾雨璇许银丰基金类型混合型成立日期2019-01-30总资产规模242.70万 (2026-06-30) 基金净值0.6328 (2026-09-04) 管理费用率0.50%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率-5.13% (8444 / 9429)
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国融融泰混合C(006602) - 历史基金净值数据曲线

最后更新于:2026-09-04

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国融融泰混合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
2026-09-040.63280.6928
2026-09-030.65300.7130
2026-09-020.67960.7396
2026-09-010.70790.7679
2026-08-310.73520.7952
2026-08-280.72950.7895
2026-08-270.74790.8079
2026-08-260.72350.7835
2026-08-250.71070.7707
2026-08-240.72060.7806
2026-08-210.72750.7875
2026-08-200.73190.7919
2026-08-190.73300.7930
2026-08-180.78330.8433
2026-08-170.78090.8409
2026-08-140.74300.8030
2026-08-130.73920.7992
2026-08-120.75120.8112
2026-08-110.73920.7992
2026-08-100.76180.8218
2026-08-070.74780.8078
2026-08-060.72990.7899
2026-08-050.71820.7782
2026-08-040.67650.7365
2026-08-030.64450.7045
2026-07-310.68790.7479
2026-07-300.67090.7309
2026-07-290.71130.7713
2026-07-280.71560.7756
2026-07-270.76400.8240
2026-07-240.73960.7996
2026-07-230.73290.7929
2026-07-220.76140.8214
2026-07-210.78170.8417
2026-07-200.69450.7545
2026-07-170.71200.7720
2026-07-160.74840.8084
2026-07-150.78800.8480
2026-07-140.81710.8771
2026-07-130.81040.8704
2026-07-100.83640.8964
2026-07-090.88460.9446
2026-07-080.82600.8860
2026-07-070.80780.8678
2026-07-060.80150.8615
2026-07-030.79980.8598
2026-07-020.80590.8659
2026-07-010.86560.9256
2026-06-300.89670.9567
2026-06-290.85100.9110