海富通消费核心混合C
(010221.jj )
基金经理黄峰基金类型混合型成立日期2020-11-04总资产规模2,764.27万 (2026-06-30) 基金净值0.8959 (2026-09-14) 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-1.86% (7649 / 9450)
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海富通消费核心混合C(010221) - 历史基金净值数据曲线

最后更新于:2026-09-14

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海富通消费核心混合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
2026-09-140.89590.8959
2026-09-110.89820.8982
2026-09-100.90640.9064
2026-09-090.91390.9139
2026-09-080.92040.9204
2026-09-070.92590.9259
2026-09-040.91770.9177
2026-09-030.91640.9164
2026-09-020.91820.9182
2026-09-010.92370.9237
2026-08-310.92620.9262
2026-08-280.93250.9325
2026-08-270.93640.9364
2026-08-260.92900.9290
2026-08-250.91710.9171
2026-08-240.91340.9134
2026-08-210.92530.9253
2026-08-200.93100.9310
2026-08-190.91740.9174
2026-08-180.95100.9510
2026-08-170.93810.9381
2026-08-140.92800.9280
2026-08-130.93580.9358
2026-08-120.95250.9525
2026-08-110.94380.9438
2026-08-100.94850.9485
2026-08-070.92540.9254
2026-08-060.92450.9245
2026-08-050.92840.9284
2026-08-040.91040.9104
2026-08-030.90620.9062
2026-07-310.92940.9294
2026-07-300.92570.9257
2026-07-290.92580.9258
2026-07-280.91600.9160
2026-07-270.91340.9134
2026-07-240.88180.8818
2026-07-230.89360.8936
2026-07-220.90690.9069
2026-07-210.91130.9113
2026-07-200.88560.8856
2026-07-170.87920.8792
2026-07-160.91310.9131
2026-07-150.91950.9195
2026-07-140.89850.8985
2026-07-130.88970.8897
2026-07-100.90850.9085
2026-07-090.91220.9122
2026-07-080.90480.9048
2026-07-070.90660.9066