华泰紫金泰盈混合C
(008405.jj ) 华泰证券(上海)资产管理有限公司
基金类型混合型成立日期2020-01-21总资产规模4.63亿 (2025-09-30) 基金净值1.4841 (2026-01-05) 基金经理查晓磊管理费用率1.00%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率6.85% (3436 / 8987)
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华泰紫金泰盈混合C(008405) - 历史基金累计净值数据曲线

最后更新于:2026-01-05

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华泰紫金泰盈混合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
2026-01-051.48411.4841
2025-12-311.47311.4731
2025-12-301.47341.4734
2025-12-291.47091.4709
2025-12-261.47861.4786
2025-12-251.47531.4753
2025-12-241.47071.4707
2025-12-231.46871.4687
2025-12-221.46971.4697
2025-12-191.46371.4637
2025-12-181.45391.4539
2025-12-171.45381.4538
2025-12-161.44161.4416
2025-12-151.45921.4592
2025-12-121.46791.4679
2025-12-111.44961.4496
2025-12-101.45601.4560
2025-12-091.44601.4460
2025-12-081.45981.4598
2025-12-051.46561.4656
2025-12-041.44881.4488
2025-12-031.44641.4464
2025-12-021.44341.4434
2025-12-011.44691.4469
2025-11-281.43311.4331
2025-11-271.42781.4278
2025-11-261.42281.4228
2025-11-251.42241.4224
2025-11-241.41471.4147
2025-11-211.40851.4085
2025-11-201.43641.4364
2025-11-191.44211.4421
2025-11-181.44111.4411
2025-11-171.46201.4620
2025-11-141.47371.4737
2025-11-131.48871.4887
2025-11-121.47141.4714
2025-11-111.46981.4698
2025-11-101.46871.4687
2025-11-071.45741.4574
2025-11-061.45381.4538
2025-11-051.43091.4309
2025-11-041.42421.4242
2025-11-031.44191.4419
2025-10-311.43871.4387
2025-10-301.44581.4458
2025-10-291.45381.4538
2025-10-281.44081.4408
2025-10-271.44611.4461
2025-10-241.42881.4288