天治量化核心精选混合C
(006878.jj )
基金经理李申基金类型混合型成立日期2019-06-11总资产规模266.19万 (2026-06-30) 基金净值0.3857 (2026-09-16) 管理费用率1.20%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率-9.77% (8942 / 9454)
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天治量化核心精选混合C(006878) - 历史基金净值数据曲线

最后更新于:2026-09-16

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天治量化核心精选混合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
2026-09-160.38570.6607
2026-09-150.38190.6569
2026-09-140.38270.6577
2026-09-110.38300.6580
2026-09-100.38880.6638
2026-09-090.39310.6681
2026-09-080.39240.6674
2026-09-070.39390.6689
2026-09-040.39400.6690
2026-09-030.40150.6765
2026-09-020.39990.6749
2026-09-010.40350.6785
2026-08-310.40920.6842
2026-08-280.40440.6794
2026-08-270.40530.6803
2026-08-260.39670.6717
2026-08-250.39560.6706
2026-08-240.39690.6719
2026-08-210.40550.6805
2026-08-200.40310.6781
2026-08-190.40230.6773
2026-08-180.42030.6953
2026-08-170.42070.6957
2026-08-140.41070.6857
2026-08-130.41000.6850
2026-08-120.41310.6881
2026-08-110.41170.6867
2026-08-100.41740.6924
2026-08-070.41380.6888
2026-08-060.40610.6811
2026-08-050.40580.6808
2026-08-040.39280.6678
2026-08-030.38670.6617
2026-07-310.39390.6689
2026-07-300.39140.6664
2026-07-290.39900.6740
2026-07-280.39670.6717
2026-07-270.40700.6820
2026-07-240.40070.6757
2026-07-230.40970.6847
2026-07-220.40980.6848
2026-07-210.40850.6835
2026-07-200.39540.6704
2026-07-170.39580.6708
2026-07-160.41440.6894
2026-07-150.42290.6979
2026-07-140.42710.7021
2026-07-130.42290.6979
2026-07-100.43870.7137
2026-07-090.44920.7242