淳厚信泽C
(007812.jj )
基金经理朱宝国基金类型混合型成立日期2019-08-21总资产规模3,249.74万 (2026-06-30) 基金净值1.6442 (2026-09-02) 管理费用率1.20%管托费用率0.20% (2026-08-14) 成立以来分红再投入年化收益率7.33% (3183 / 9411)
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淳厚信泽C(007812) - 历史基金净值数据曲线

最后更新于:2026-09-02

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淳厚信泽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
2026-09-021.64421.6442
2026-09-011.63631.6363
2026-08-311.67631.6763
2026-08-281.60901.6090
2026-08-271.65141.6514
2026-08-261.57641.5764
2026-08-251.59451.5945
2026-08-241.55931.5593
2026-08-211.60451.6045
2026-08-201.55961.5596
2026-08-191.59101.5910
2026-08-181.70511.7051
2026-08-171.73071.7307
2026-08-141.68251.6825
2026-08-131.66261.6626
2026-08-121.65951.6595
2026-08-111.62941.6294
2026-08-101.66091.6609
2026-08-071.67351.6735
2026-08-061.61081.6108
2026-08-051.57691.5769
2026-08-041.50181.5018
2026-08-031.41971.4197
2026-07-311.43541.4354
2026-07-301.40171.4017
2026-07-291.49171.4917
2026-07-281.51701.5170
2026-07-271.60161.6016
2026-07-241.55171.5517
2026-07-231.58731.5873
2026-07-221.59541.5954
2026-07-211.61751.6175
2026-07-201.53631.5363
2026-07-171.62331.6233
2026-07-161.75801.7580
2026-07-151.82721.8272
2026-07-141.88031.8803
2026-07-132.00802.0080
2026-07-102.20282.2028
2026-07-092.07032.0703
2026-07-081.98571.9857
2026-07-072.07162.0716
2026-07-062.12072.1207
2026-07-022.11502.1150
2026-07-012.18472.1847
2026-06-302.15592.1559
2026-06-292.09102.0910
2026-06-262.08802.0880
2026-06-252.00342.0034
2026-06-242.00472.0047