国投瑞银沪深300指数量化增强C
(007144.jj ) 沪深300 (半年) 国投瑞银基金管理有限公司
基金经理殷瑞飞基金类型指数型基金成立日期2019-06-11总资产规模1.36亿 (2026-03-31) 基金净值1.6051 (2026-05-14) 管理费用率1.00%管托费用率0.15% (2025-06-27) 成立以来分红再投入年化收益率7.91% (3328 / 5864)
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国投瑞银沪深300指数量化增强C(007144) - 历史基金净值数据曲线

最后更新于:2026-05-14

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国投瑞银沪深300指数量化增强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
2026-05-141.60511.6806
2026-05-131.62881.7043
2026-05-121.61071.6862
2026-05-111.61091.6864
2026-05-081.58751.6630
2026-05-071.59481.6703
2026-05-061.59231.6678
2026-04-301.56891.6444
2026-04-291.57171.6472
2026-04-281.55571.6312
2026-04-271.55931.6348
2026-04-241.56061.6361
2026-04-231.56101.6365
2026-04-221.56671.6422
2026-04-211.55971.6352
2026-04-201.55061.6261
2026-04-171.54321.6187
2026-04-161.55031.6258
2026-04-151.53511.6106
2026-04-141.53571.6112
2026-04-131.51741.5929
2026-04-101.51411.5896
2026-04-091.49451.5700
2026-04-081.50671.5822
2026-04-071.46101.5365
2026-04-031.46001.5355
2026-04-021.47561.5511
2026-04-011.49081.5663
2026-03-311.46911.5446
2026-03-301.47711.5526
2026-03-271.47811.5536
2026-03-261.46781.5433
2026-03-251.48341.5589
2026-03-241.46231.5378
2026-03-231.44121.5167
2026-03-201.49171.5672
2026-03-191.49521.5707
2026-03-181.51911.5946
2026-03-171.51341.5889
2026-03-161.52321.5987
2026-03-131.51911.5946
2026-03-121.52141.5969
2026-03-111.52771.6032
2026-03-101.51701.5925
2026-03-091.49581.5713
2026-03-061.50961.5851
2026-03-051.50551.5810
2026-03-041.49211.5676
2026-03-031.50961.5851
2026-03-021.52971.6052