淳厚信睿A
(008186.jj ) 淳厚基金管理有限公司
基金经理陈文杨煜城基金类型混合型成立日期2020-02-12总资产规模29.69亿 (2026-06-30) 基金净值4.4684 (2026-08-28) 管理费用率1.20%管托费用率0.20% (2026-05-25) 成立以来分红再投入年化收益率25.71% (470 / 9402)
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淳厚信睿A(008186) - 历史基金净值数据曲线

最后更新于:2026-08-28

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淳厚信睿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
2026-08-284.46844.4684
2026-08-274.52884.5288
2026-08-264.43564.4356
2026-08-254.42614.4261
2026-08-244.43074.4307
2026-08-214.53874.5387
2026-08-204.45674.4567
2026-08-194.39414.3941
2026-08-184.70564.7056
2026-08-174.72954.7295
2026-08-144.57974.5797
2026-08-134.54364.5436
2026-08-124.55284.5528
2026-08-114.48654.4865
2026-08-104.54054.5405
2026-08-074.55054.5505
2026-08-064.42944.4294
2026-08-054.41074.4107
2026-08-044.26334.2633
2026-08-034.05614.0561
2026-07-314.15174.1517
2026-07-304.05564.0556
2026-07-294.27844.2784
2026-07-284.31174.3117
2026-07-274.58644.5864
2026-07-244.50344.5034
2026-07-234.54654.5465
2026-07-224.58014.5801
2026-07-214.66024.6602
2026-07-204.32864.3286
2026-07-174.48444.4844
2026-07-164.79374.7937
2026-07-154.96264.9626
2026-07-145.06975.0697
2026-07-134.91344.9134
2026-07-105.17765.1776
2026-07-095.36445.3644
2026-07-085.11365.1136
2026-07-075.17635.1763
2026-07-065.20715.2071
2026-07-025.29605.2960
2026-07-015.56365.5636
2026-06-305.65895.6589
2026-06-295.45125.4512
2026-06-265.48225.4822
2026-06-255.59395.5939
2026-06-245.45035.4503
2026-06-235.33045.3304
2026-06-225.50265.5026
2026-06-185.38875.3887