国联成长优选混合A
(010008.jj ) 国联基金管理有限公司
基金经理杜超基金类型混合型成立日期2020-11-18总资产规模5,346.22万 (2026-03-31) 基金净值1.2704 (2026-07-20) 管理费用率1.20%管托费用率0.20% (2025-12-31) 持仓换手率12.94倍 (2025-12-31) 成立以来分红再投入年化收益率4.31% (4537 / 9305)
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国联成长优选混合A(010008) - 历史基金累计净值数据曲线

最后更新于:2026-07-20

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国联成长优选混合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
2026-07-201.27041.2704
2026-07-171.27741.2774
2026-07-161.33071.3307
2026-07-151.37631.3763
2026-07-141.40681.4068
2026-07-131.36471.3647
2026-07-101.40531.4053
2026-07-091.43531.4353
2026-07-081.39701.3970
2026-07-071.42671.4267
2026-07-061.43771.4377
2026-07-031.46991.4699
2026-07-021.54611.5461
2026-07-011.61801.6180
2026-06-301.62441.6244
2026-06-291.61291.6129
2026-06-261.59121.5912
2026-06-251.59381.5938
2026-06-241.55271.5527
2026-06-231.49431.4943
2026-06-221.54881.5488
2026-06-181.45331.4533
2026-06-171.43081.4308
2026-06-161.38851.3885
2026-06-151.34991.3499
2026-06-121.27801.2780
2026-06-111.29351.2935
2026-06-101.26311.2631
2026-06-091.29161.2916
2026-06-081.23151.2315
2026-06-051.27131.2713
2026-06-041.27411.2741
2026-06-031.25991.2599
2026-06-021.25791.2579
2026-06-011.22051.2205
2026-05-291.25591.2559
2026-05-281.27501.2750
2026-05-271.23451.2345
2026-05-261.25821.2582
2026-05-251.26241.2624
2026-05-221.23941.2394
2026-05-211.18281.1828
2026-05-201.23131.2313
2026-05-191.22381.2238
2026-05-181.19771.1977
2026-05-151.19731.1973
2026-05-141.24381.2438
2026-05-131.27221.2722
2026-05-121.25631.2563
2026-05-111.25701.2570