嘉实瑞成两年持有期混合C
(009139.jj )
基金经理张金涛基金类型混合型成立日期2020-05-14总资产规模7,008.12万 (2026-06-30) 基金净值1.3290 (2026-09-04) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率4.61% (4524 / 9429)
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嘉实瑞成两年持有期混合C(009139) - 历史基金净值数据曲线

最后更新于:2026-09-04

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嘉实瑞成两年持有期混合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
2026-09-041.32901.3290
2026-09-031.32441.3244
2026-09-021.31671.3167
2026-09-011.32851.3285
2026-08-311.32971.3297
2026-08-281.33401.3340
2026-08-271.33461.3346
2026-08-261.33241.3324
2026-08-251.32121.3212
2026-08-241.31421.3142
2026-08-211.32311.3231
2026-08-201.31931.3193
2026-08-191.29841.2984
2026-08-181.31351.3135
2026-08-171.31251.3125
2026-08-141.29331.2933
2026-08-131.29271.2927
2026-08-121.30651.3065
2026-08-111.30171.3017
2026-08-101.31981.3198
2026-08-071.30191.3019
2026-08-061.29691.2969
2026-08-051.30291.3029
2026-08-041.28611.2861
2026-08-031.29781.2978
2026-07-311.30731.3073
2026-07-301.31631.3163
2026-07-291.31931.3193
2026-07-281.29271.2927
2026-07-271.29051.2905
2026-07-241.28001.2800
2026-07-231.29551.2955
2026-07-221.27331.2733
2026-07-211.26821.2682
2026-07-201.26231.2623
2026-07-171.23861.2386
2026-07-161.27391.2739
2026-07-151.25991.2599
2026-07-141.24561.2456
2026-07-131.22931.2293
2026-07-101.24531.2453
2026-07-091.23941.2394
2026-07-081.24511.2451
2026-07-071.25001.2500
2026-07-061.26371.2637
2026-07-031.26171.2617
2026-07-021.22411.2241
2026-07-011.20531.2053
2026-06-301.20701.2070
2026-06-291.21761.2176