长江量化消费精选C
(010802.jj )
基金经理秦昌贵张帅基金类型股票型成立日期2021-01-27总资产规模1,249.34万 (2026-06-30) 基金净值0.5661 (2026-08-25) 管理费用率1.20%管托费用率0.20% (2025-12-31) 成立以来分红再投入年化收益率-9.70% (5698 / 6225)
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长江量化消费精选C(010802) - 历史基金累计净值数据曲线

最后更新于:2026-08-25

数据选项
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长江量化消费精选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
2026-08-250.56610.5661
2026-08-240.55940.5594
2026-08-210.56280.5628
2026-08-200.56350.5635
2026-08-190.55950.5595
2026-08-180.57730.5773
2026-08-170.57560.5756
2026-08-140.56980.5698
2026-08-130.57140.5714
2026-08-120.57450.5745
2026-08-110.57300.5730
2026-08-100.57240.5724
2026-08-070.56560.5656
2026-08-060.56370.5637
2026-08-050.56420.5642
2026-08-040.55830.5583
2026-08-030.55550.5555
2026-07-310.55670.5567
2026-07-300.55470.5547
2026-07-290.54950.5495
2026-07-280.54210.5421
2026-07-270.53760.5376
2026-07-240.53100.5310
2026-07-230.54100.5410
2026-07-220.54160.5416
2026-07-210.54220.5422
2026-07-200.53810.5381
2026-07-170.53420.5342
2026-07-160.54760.5476
2026-07-150.54800.5480
2026-07-140.53960.5396
2026-07-130.53800.5380
2026-07-100.54500.5450
2026-07-090.54020.5402
2026-07-080.53920.5392
2026-07-070.54520.5452
2026-07-060.55360.5536
2026-07-030.55330.5533
2026-07-020.54580.5458
2026-07-010.54360.5436
2026-06-300.53380.5338
2026-06-290.53020.5302
2026-06-260.52790.5279
2026-06-250.54160.5416
2026-06-240.54350.5435
2026-06-230.54950.5495
2026-06-220.55330.5533
2026-06-180.55580.5558
2026-06-170.56010.5601
2026-06-160.56760.5676