嘉合锦明混合C
(012988.jj ) 嘉合基金管理有限公司
基金类型混合型成立日期2021-09-01总资产规模1.49亿 (2025-09-30) 基金净值0.8211 (2025-12-23) 基金经理李国林管理费用率1.20%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率-4.47% (8182 / 8941)
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嘉合锦明混合C(012988) - 历史基金净值数据曲线

最后更新于:2025-12-23

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嘉合锦明混合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
2025-12-230.82110.8211
2025-12-220.82450.8245
2025-12-190.81120.8112
2025-12-180.80780.8078
2025-12-170.81310.8131
2025-12-160.79480.7948
2025-12-150.80820.8082
2025-12-120.82130.8213
2025-12-110.81160.8116
2025-12-100.82080.8208
2025-12-090.81670.8167
2025-12-080.82150.8215
2025-12-050.80900.8090
2025-12-040.80300.8030
2025-12-030.79470.7947
2025-12-020.80500.8050
2025-12-010.81120.8112
2025-11-280.80340.8034
2025-11-270.79850.7985
2025-11-260.80410.8041
2025-11-250.80200.8020
2025-11-240.79280.7928
2025-11-210.79330.7933
2025-11-200.83340.8334
2025-11-190.84000.8400
2025-11-180.83980.8398
2025-11-170.85650.8565
2025-11-140.85250.8525
2025-11-130.87420.8742
2025-11-120.84970.8497
2025-11-110.85290.8529
2025-11-100.86280.8628
2025-11-070.86190.8619
2025-11-060.87520.8752
2025-11-050.84510.8451
2025-11-040.84460.8446
2025-11-030.86180.8618
2025-10-310.86940.8694
2025-10-300.89660.8966
2025-10-290.90590.9059
2025-10-280.90040.9004
2025-10-270.91310.9131
2025-10-240.89490.8949
2025-10-230.86450.8645
2025-10-220.86830.8683
2025-10-210.86870.8687
2025-10-200.84530.8453
2025-10-170.82460.8246
2025-10-160.85230.8523
2025-10-150.85830.8583