(011941.jj ) 大成基金管理有限公司
基金经理陈会荣冉凌浩基金类型QDII成立日期2021-04-16基金净值0.1478 (2026-06-04) 管理费用率0.80%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率-1.71% (491 / 594)
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undefined(011941) - 历史基金净值数据曲线

最后更新于:2026-06-04

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undefined历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-06-040.14780.1501
2026-06-030.14770.1500
2026-06-020.14790.1502
2026-06-010.14780.1501
2026-05-290.14790.1502
2026-05-280.14770.1500
2026-05-270.14770.1500
2026-05-260.14760.1499
2026-05-250.14740.1497
2026-05-220.14730.1496
2026-05-210.14730.1496
2026-05-200.14720.1495
2026-05-190.14720.1495
2026-05-180.14730.1496
2026-05-150.14740.1497
2026-05-140.14780.1501
2026-05-130.14780.1501
2026-05-120.14780.1501
2026-05-110.14800.1503
2026-05-080.14820.1505
2026-05-070.14810.1504
2026-05-060.14820.1505
2026-04-290.14790.1502
2026-04-280.14810.1504
2026-04-270.14820.1505
2026-04-240.14820.1505
2026-04-230.14820.1505
2026-04-220.14830.1506
2026-04-210.14830.1506
2026-04-200.14850.1508
2026-04-170.14830.1506
2026-04-160.14820.1505
2026-04-150.14820.1505
2026-04-140.14830.1506
2026-04-130.14800.1503
2026-04-100.14800.1503
2026-04-090.14810.1504
2026-04-080.14810.1504
2026-04-070.14790.1502
2026-04-030.14770.1500
2026-04-020.14780.1501
2026-04-010.14790.1502
2026-03-310.14780.1501
2026-03-300.14760.1499
2026-03-270.14720.1495
2026-03-260.14730.1496
2026-03-250.14770.1500
2026-03-240.14750.1498
2026-03-230.14750.1498
2026-03-200.14750.1498