摩根动力精选混合C
(013137.jj )
基金经理赵隆隆基金类型混合型成立日期2021-07-30总资产规模2,173.54万 (2026-06-30) 基金净值2.7334 (2026-09-14) 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-4.38% (8243 / 9450)
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摩根动力精选混合C(013137) - 历史基金累计净值数据曲线

最后更新于:2026-09-14

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摩根动力精选混合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
2026-09-142.73342.7334
2026-09-112.74332.7433
2026-09-102.78952.7895
2026-09-092.81702.8170
2026-09-082.81312.8131
2026-09-072.83482.8348
2026-09-042.76952.7695
2026-09-032.81942.8194
2026-09-022.80292.8029
2026-09-012.87132.8713
2026-08-312.93002.9300
2026-08-282.93042.9304
2026-08-272.95422.9542
2026-08-262.91372.9137
2026-08-252.88512.8851
2026-08-242.96122.9612
2026-08-213.01053.0105
2026-08-202.91942.9194
2026-08-192.91952.9195
2026-08-183.07523.0752
2026-08-173.12453.1245
2026-08-143.04213.0421
2026-08-133.00143.0014
2026-08-123.01623.0162
2026-08-112.96112.9611
2026-08-102.94072.9407
2026-08-072.95712.9571
2026-08-062.92102.9210
2026-08-052.94982.9498
2026-08-042.90022.9002
2026-08-032.80292.8029
2026-07-312.80172.8017
2026-07-302.75172.7517
2026-07-292.85932.8593
2026-07-282.83862.8386
2026-07-273.01143.0114
2026-07-242.92662.9266
2026-07-233.00453.0045
2026-07-222.95452.9545
2026-07-213.02773.0277
2026-07-202.90342.9034
2026-07-172.96962.9696
2026-07-163.15403.1540
2026-07-153.22013.2201
2026-07-143.27413.2741
2026-07-133.14533.1453
2026-07-103.22393.2239
2026-07-093.35733.3573
2026-07-083.30493.3049
2026-07-073.44313.4431