淳厚信睿C
(008187.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20.94亿 (2026-06-30) 基金净值4.5135 (2026-07-21) 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26.36% (481 / 9309)
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淳厚信睿C(008187) - 历史基金净值数据曲线

最后更新于:2026-07-21

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淳厚信睿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
2026-07-214.51354.5135
2026-07-204.19244.1924
2026-07-174.34344.3434
2026-07-164.64314.6431
2026-07-154.80684.8068
2026-07-144.91054.9105
2026-07-134.75924.7592
2026-07-105.01535.0153
2026-07-095.19645.1964
2026-07-084.95354.9535
2026-07-075.01435.0143
2026-07-065.04425.0442
2026-07-025.13055.1305
2026-07-015.38995.3899
2026-06-305.48235.4823
2026-06-295.28125.2812
2026-06-265.31145.3114
2026-06-255.41965.4196
2026-06-245.28065.2806
2026-06-235.16465.1646
2026-06-225.33145.3314
2026-06-185.22145.2214
2026-06-175.11645.1164
2026-06-164.97254.9725
2026-06-154.86674.8667
2026-06-124.62174.6217
2026-06-114.64024.6402
2026-06-104.64544.6454
2026-06-094.75164.7516
2026-06-084.55464.5546
2026-06-054.69354.6935
2026-06-044.81034.8103
2026-06-034.71744.7174
2026-06-024.66584.6658
2026-06-014.53114.5311
2026-05-294.68274.6827
2026-05-284.79404.7940
2026-05-274.67864.6786
2026-05-264.74124.7412
2026-05-254.75094.7509
2026-05-224.66904.6690
2026-05-214.49404.4940
2026-05-204.65424.6542
2026-05-194.59094.5909
2026-05-184.52584.5258
2026-05-154.50284.5028
2026-05-144.56994.5699
2026-05-134.66844.6684
2026-05-124.53604.5360
2026-05-114.53084.5308