富国创新科技混合C
(011120.jj )
基金经理罗擎基金类型混合型成立日期2020-12-28总资产规模126.87亿 (2026-06-30) 基金净值4.4620 (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10.67% (1960 / 9448)
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富国创新科技混合C(011120) - 历史基金累计净值数据曲线

最后更新于:2026-09-11

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富国创新科技混合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
2026-09-114.46204.4620
2026-09-104.39904.3990
2026-09-094.42004.4200
2026-09-084.34904.3490
2026-09-074.33604.3360
2026-09-044.04104.0410
2026-09-034.14204.1420
2026-09-024.17304.1730
2026-09-014.25004.2500
2026-08-314.36504.3650
2026-08-284.34704.3470
2026-08-274.42804.4280
2026-08-264.21704.2170
2026-08-254.19604.1960
2026-08-244.18904.1890
2026-08-214.33404.3340
2026-08-204.24704.2470
2026-08-194.13704.1370
2026-08-184.51704.5170
2026-08-174.53504.5350
2026-08-144.31904.3190
2026-08-134.17304.1730
2026-08-124.20404.2040
2026-08-114.06704.0670
2026-08-104.09104.0910
2026-08-074.15704.1570
2026-08-064.00704.0070
2026-08-053.91403.9140
2026-08-043.80803.8080
2026-08-033.45503.4550
2026-07-313.49703.4970
2026-07-303.33403.3340
2026-07-293.65403.6540
2026-07-283.71803.7180
2026-07-274.16904.1690
2026-07-244.00904.0090
2026-07-234.14204.1420
2026-07-224.19404.1940
2026-07-214.43504.4350
2026-07-204.10904.1090
2026-07-174.30504.3050
2026-07-164.77004.7700
2026-07-154.94604.9460
2026-07-145.04805.0480
2026-07-134.74804.7480
2026-07-105.01105.0110
2026-07-095.25605.2560
2026-07-084.94504.9450
2026-07-075.02605.0260
2026-07-065.07705.0770