大成成长进取混合C
(010372.jj )
基金经理杜聪基金类型混合型成立日期2020-11-30总资产规模32.09亿 (2026-06-30) 基金净值2.2366 (2026-09-03) 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15.00% (1150 / 9423)
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大成成长进取混合C(010372) - 历史基金净值数据曲线

最后更新于:2026-09-03

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大成成长进取混合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
2026-09-032.23662.2366
2026-09-022.23132.2313
2026-09-012.26952.2695
2026-08-312.33352.3335
2026-08-282.31202.3120
2026-08-272.34712.3471
2026-08-262.25762.2576
2026-08-252.24772.2477
2026-08-242.25782.2578
2026-08-212.35992.3599
2026-08-202.32172.3217
2026-08-192.30782.3078
2026-08-182.50812.5081
2026-08-172.52102.5210
2026-08-142.41202.4120
2026-08-132.38172.3817
2026-08-122.37662.3766
2026-08-112.32172.3217
2026-08-102.35152.3515
2026-08-072.35812.3581
2026-08-062.28822.2882
2026-08-052.27212.2721
2026-08-042.19572.1957
2026-08-032.04732.0473
2026-07-312.10342.1034
2026-07-302.03342.0334
2026-07-292.20612.2061
2026-07-282.21132.2113
2026-07-272.41342.4134
2026-07-242.34462.3446
2026-07-232.36672.3667
2026-07-222.39952.3995
2026-07-212.46072.4607
2026-07-202.23442.2344
2026-07-172.33552.3355
2026-07-162.53752.5375
2026-07-152.66942.6694
2026-07-142.78222.7822
2026-07-132.68292.6829
2026-07-102.83382.8338
2026-07-093.01513.0151
2026-07-082.84692.8469
2026-07-072.88702.8870
2026-07-062.90852.9085
2026-07-032.98622.9862
2026-07-023.00573.0057
2026-07-013.23733.2373
2026-06-303.25673.2567
2026-06-293.15813.1581
2026-06-263.18553.1855