国寿安保盛泽三年持有期混合C
(013324.jj ) 国寿安保基金管理有限公司
基金经理吴坚基金类型混合型成立日期2022-01-18总资产规模997.88万 (2026-06-30) 基金净值1.2804 (2026-07-22) 管理费用率1.20%管托费用率0.20% (2026-05-30) 成立以来分红再投入年化收益率5.63% (3591 / 9309)
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国寿安保盛泽三年持有期混合C(013324) - 历史基金净值数据曲线

最后更新于:2026-07-22

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国寿安保盛泽三年持有期混合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
2026-07-221.28041.2804
2026-07-211.33361.3336
2026-07-201.21361.2136
2026-07-171.26541.2654
2026-07-161.38391.3839
2026-07-151.45941.4594
2026-07-141.49891.4989
2026-07-131.42721.4272
2026-07-101.51411.5141
2026-07-091.58381.5838
2026-07-081.51231.5123
2026-07-071.53101.5310
2026-07-061.55671.5567
2026-07-031.60611.6061
2026-07-021.59641.5964
2026-07-011.71791.7179
2026-06-301.77391.7739
2026-06-291.71191.7119
2026-06-261.73451.7345
2026-06-251.80251.8025
2026-06-241.73761.7376
2026-06-231.67761.6776
2026-06-221.74351.7435
2026-06-181.73081.7308
2026-06-171.69791.6979
2026-06-161.66731.6673
2026-06-151.60611.6061
2026-06-121.51311.5131
2026-06-111.53391.5339
2026-06-101.54951.5495
2026-06-091.56621.5662
2026-06-081.49021.4902
2026-06-051.52871.5287
2026-06-041.58061.5806
2026-06-031.54051.5405
2026-06-021.48731.4873
2026-06-011.42361.4236
2026-05-291.48221.4822
2026-05-281.49791.4979
2026-05-271.44171.4417
2026-05-261.44911.4491
2026-05-251.46531.4653
2026-05-221.43781.4378
2026-05-211.37751.3775
2026-05-201.44321.4432
2026-05-191.43561.4356
2026-05-181.43171.4317
2026-05-151.41281.4128
2026-05-141.47071.4707
2026-05-131.47781.4778