惠升惠民混合C
(008532.jj )
基金经理彭柏文基金类型混合型成立日期2020-03-05总资产规模6.81亿 (2026-06-30) 基金净值1.1781 (2026-09-14) 管理费用率1.50%管托费用率0.15% (2026-06-30) 成立以来分红再投入年化收益率4.84% (4296 / 9450)
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惠升惠民混合C(008532) - 历史基金净值数据曲线

最后更新于:2026-09-14

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惠升惠民混合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
2026-09-141.17811.3435
2026-09-111.18531.3507
2026-09-101.19901.3644
2026-09-091.21471.3801
2026-09-081.20531.3707
2026-09-071.20891.3743
2026-09-041.21171.3771
2026-09-031.22241.3878
2026-09-021.20991.3753
2026-09-011.22301.3884
2026-08-311.24001.4054
2026-08-281.23691.4023
2026-08-271.23771.4031
2026-08-261.21821.3836
2026-08-251.21201.3774
2026-08-241.21071.3761
2026-08-211.23581.4012
2026-08-201.22861.3940
2026-08-191.21801.3834
2026-08-181.26391.4293
2026-08-171.27411.4395
2026-08-141.24951.4149
2026-08-131.23991.4053
2026-08-121.23591.4013
2026-08-111.23541.4008
2026-08-101.25701.4224
2026-08-071.25461.4200
2026-08-061.22161.3870
2026-08-051.22311.3885
2026-08-041.19961.3650
2026-08-031.18671.3521
2026-07-311.19421.3596
2026-07-301.17951.3449
2026-07-291.20091.3663
2026-07-281.18151.3469
2026-07-271.19751.3629
2026-07-241.18211.3475
2026-07-231.20611.3715
2026-07-221.21401.3794
2026-07-211.21061.3760
2026-07-201.16841.3338
2026-07-171.15441.3198
2026-07-161.20511.3705
2026-07-151.23051.3959
2026-07-141.23841.4038
2026-07-131.23281.3982
2026-07-101.26711.4325
2026-07-091.29681.4622
2026-07-081.27791.4433
2026-07-071.27431.4397