创金合信竞争优势混合C
(011207.jj ) 创金合信基金管理有限公司
基金经理陆迪基金类型混合型成立日期2021-01-25总资产规模9,698.19万 (2026-03-31) 基金净值0.6511 (2026-05-22) 管理费用率0.80%管托费用率0.10% (2025-08-16) 成立以来分红再投入年化收益率-7.74% (8812 / 9180)
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创金合信竞争优势混合C(011207) - 历史基金净值数据曲线

最后更新于:2026-05-22

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创金合信竞争优势混合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
2026-05-220.65110.6511
2026-05-210.65160.6516
2026-05-200.65740.6574
2026-05-190.66130.6613
2026-05-180.65720.6572
2026-05-150.66400.6640
2026-05-140.67060.6706
2026-05-130.67700.6770
2026-05-120.67770.6777
2026-05-110.68230.6823
2026-05-080.67930.6793
2026-05-070.67860.6786
2026-05-060.67940.6794
2026-04-300.67740.6774
2026-04-290.68190.6819
2026-04-280.67510.6751
2026-04-270.67880.6788
2026-04-240.67790.6779
2026-04-230.68190.6819
2026-04-220.68180.6818
2026-04-210.68350.6835
2026-04-200.68170.6817
2026-04-170.67580.6758
2026-04-160.67890.6789
2026-04-150.67720.6772
2026-04-140.67580.6758
2026-04-130.67320.6732
2026-04-100.67140.6714
2026-04-090.66700.6670
2026-04-080.67570.6757
2026-04-070.66170.6617
2026-04-030.65800.6580
2026-04-020.66970.6697
2026-04-010.67490.6749
2026-03-310.66760.6676
2026-03-300.67210.6721
2026-03-270.67070.6707
2026-03-260.66450.6645
2026-03-250.66960.6696
2026-03-240.66210.6621
2026-03-230.65130.6513
2026-03-200.67680.6768
2026-03-190.68350.6835
2026-03-180.69370.6937
2026-03-170.69650.6965
2026-03-160.70110.7011
2026-03-130.70330.7033
2026-03-120.70360.7036
2026-03-110.70230.7023
2026-03-100.69870.6987