国泰成长价值混合A
(010912.jj ) 国泰基金管理有限公司
基金经理彭凌志基金类型混合型成立日期2021-03-23总资产规模1.32亿 (2026-03-31) 基金净值1.7413 (2026-07-17) 管理费用率1.20%管托费用率0.20% (2025-12-31) 持仓换手率369.18% (2025-12-31) 成立以来分红再投入年化收益率11.00% (1875 / 9305)
备注 (0): 双击编辑备注
发表讨论

国泰成长价值混合A(010912) - 历史基金净值数据曲线

最后更新于:2026-07-17

数据选项
加载中......
国泰成长价值混合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
2026-07-171.74131.7413
2026-07-161.86011.8601
2026-07-151.97211.9721
2026-07-142.08152.0815
2026-07-132.07942.0794
2026-07-102.15052.1505
2026-07-092.30112.3011
2026-07-082.10782.1078
2026-07-072.03352.0335
2026-07-062.00812.0081
2026-07-031.99601.9960
2026-07-022.02212.0221
2026-07-012.22792.2279
2026-06-302.25422.2542
2026-06-292.17112.1711
2026-06-262.02882.0288
2026-06-251.97591.9759
2026-06-241.90831.9083
2026-06-231.78711.7871
2026-06-221.78361.7836
2026-06-181.73641.7364
2026-06-171.69041.6904
2026-06-161.57651.5765
2026-06-151.57731.5773
2026-06-121.50081.5008
2026-06-111.49501.4950
2026-06-101.43881.4388
2026-06-091.43501.4350
2026-06-081.34881.3488
2026-06-051.40221.4022
2026-06-041.47001.4700
2026-06-031.42821.4282
2026-06-021.39651.3965
2026-06-011.37081.3708
2026-05-291.44471.4447
2026-05-281.52401.5240
2026-05-271.50371.5037
2026-05-261.56231.5623
2026-05-251.58171.5817
2026-05-221.47741.4774
2026-05-211.45221.4522
2026-05-201.51981.5198
2026-05-191.41801.4180
2026-05-181.35451.3545
2026-05-151.33821.3382
2026-05-141.30001.3000
2026-05-131.34031.3403
2026-05-121.30321.3032
2026-05-111.27471.2747
2026-05-081.21021.2102