国泰成长价值混合C
(010913.jj )
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1.27亿 (2026-06-30) 基金净值1.5729 (2026-09-11) 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8.64% (2556 / 9448)
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国泰成长价值混合C(010913) - 历史基金净值数据曲线

最后更新于:2026-09-11

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国泰成长价值混合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
2026-09-111.57291.5729
2026-09-101.60021.6002
2026-09-091.59891.5989
2026-09-081.61411.6141
2026-09-071.64621.6462
2026-09-041.58071.5807
2026-09-031.64741.6474
2026-09-021.66701.6670
2026-09-011.69671.6967
2026-08-311.76031.7603
2026-08-281.74941.7494
2026-08-271.79631.7963
2026-08-261.74271.7427
2026-08-251.69391.6939
2026-08-241.74061.7406
2026-08-211.75551.7555
2026-08-201.76301.7630
2026-08-191.75191.7519
2026-08-181.89641.8964
2026-08-171.86611.8661
2026-08-141.76481.7648
2026-08-131.77991.7799
2026-08-121.81391.8139
2026-08-111.77481.7748
2026-08-101.81791.8179
2026-08-071.77321.7732
2026-08-061.72281.7228
2026-08-051.69011.6901
2026-08-041.55891.5589
2026-08-031.48601.4860
2026-07-311.63891.6389
2026-07-301.59501.5950
2026-07-291.72141.7214
2026-07-281.74161.7416
2026-07-271.86751.8675
2026-07-241.82141.8214
2026-07-231.78131.7813
2026-07-221.87501.8750
2026-07-211.91501.9150
2026-07-201.64711.6471
2026-07-171.69541.6954
2026-07-161.81111.8111
2026-07-151.92021.9202
2026-07-142.02672.0267
2026-07-132.02472.0247
2026-07-102.09402.0940
2026-07-092.24072.2407
2026-07-082.05252.0525
2026-07-071.98011.9801
2026-07-061.95541.9554