富国产业升级混合C
(013046.jj )
基金经理章旭峰基金类型混合型成立日期2021-07-16总资产规模926.62万 (2026-06-30) 基金净值3.4010 (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4.99% (4232 / 9448)
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富国产业升级混合C(013046) - 历史基金净值数据曲线

最后更新于:2026-09-11

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富国产业升级混合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
2026-09-113.40103.4010
2026-09-103.41043.4104
2026-09-093.42653.4265
2026-09-083.42093.4209
2026-09-073.44853.4485
2026-09-043.29493.2949
2026-09-033.33733.3373
2026-09-023.34453.3445
2026-09-013.40483.4048
2026-08-313.46433.4643
2026-08-283.42643.4264
2026-08-273.45593.4559
2026-08-263.36783.3678
2026-08-253.33543.3354
2026-08-243.35013.3501
2026-08-213.48783.4878
2026-08-203.42673.4267
2026-08-193.39803.3980
2026-08-183.62423.6242
2026-08-173.67313.6731
2026-08-143.54043.5404
2026-08-133.51503.5150
2026-08-123.53753.5375
2026-08-113.46003.4600
2026-08-103.49303.4930
2026-08-073.55863.5586
2026-08-063.46433.4643
2026-08-053.43073.4307
2026-08-043.33323.3332
2026-08-033.15013.1501
2026-07-313.27753.2775
2026-07-303.15683.1568
2026-07-293.37203.3720
2026-07-283.39063.3906
2026-07-273.67073.6707
2026-07-243.57933.5793
2026-07-233.65083.6508
2026-07-223.71023.7102
2026-07-213.82793.8279
2026-07-203.53863.5386
2026-07-173.58863.5886
2026-07-163.84303.8430
2026-07-153.92523.9252
2026-07-144.01754.0175
2026-07-133.87193.8719
2026-07-103.97353.9735
2026-07-094.18704.1870
2026-07-083.90803.9080
2026-07-073.88983.8898
2026-07-063.89293.8929