创金合信碳中和混合C
(013161.jj )
基金经理黄超基金类型混合型成立日期2021-09-22总资产规模1.14亿 (2026-06-30) 基金净值0.5200 (2026-09-18) 管理费用率1.20%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率-12.28% (9194 / 9467)
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创金合信碳中和混合C(013161) - 历史基金累计净值数据曲线

最后更新于:2026-09-18

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创金合信碳中和混合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
2026-09-180.52000.5200
2026-09-170.51180.5118
2026-09-160.52110.5211
2026-09-150.50990.5099
2026-09-140.51910.5191
2026-09-110.52110.5211
2026-09-100.52770.5277
2026-09-090.53520.5352
2026-09-080.52800.5280
2026-09-070.52740.5274
2026-09-040.52950.5295
2026-09-030.53340.5334
2026-09-020.52530.5253
2026-09-010.52970.5297
2026-08-310.53970.5397
2026-08-280.54110.5411
2026-08-270.53840.5384
2026-08-260.53450.5345
2026-08-250.53460.5346
2026-08-240.54270.5427
2026-08-210.54530.5453
2026-08-200.53250.5325
2026-08-190.52330.5233
2026-08-180.53430.5343
2026-08-170.53530.5353
2026-08-140.52300.5230
2026-08-130.52240.5224
2026-08-120.53690.5369
2026-08-110.53260.5326
2026-08-100.54170.5417
2026-08-070.53590.5359
2026-08-060.52930.5293
2026-08-050.52930.5293
2026-08-040.51210.5121
2026-08-030.50700.5070
2026-07-310.50310.5031
2026-07-300.49770.4977
2026-07-290.50290.5029
2026-07-280.49490.4949
2026-07-270.50450.5045
2026-07-240.49930.4993
2026-07-230.51330.5133
2026-07-220.50640.5064
2026-07-210.50100.5010
2026-07-200.48440.4844
2026-07-170.48190.4819
2026-07-160.50240.5024
2026-07-150.50770.5077
2026-07-140.51430.5143
2026-07-130.50910.5091