东海启航6个月混合C
(013377.jj )
基金经理邵炜张浩硕基金类型混合型成立日期2021-12-13总资产规模448.20万 (2026-06-30) 基金净值0.9391 (2026-09-18) 管理费用率0.50%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率-1.31% (7634 / 9467)
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东海启航6个月混合C(013377) - 历史基金累计净值数据曲线

最后更新于:2026-09-18

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东海启航6个月混合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
2026-09-180.93910.9391
2026-09-170.93320.9332
2026-09-160.93250.9325
2026-09-150.92600.9260
2026-09-140.92690.9269
2026-09-110.92750.9275
2026-09-100.93430.9343
2026-09-090.93920.9392
2026-09-080.93880.9388
2026-09-070.94180.9418
2026-09-040.93470.9347
2026-09-030.94290.9429
2026-09-020.93760.9376
2026-09-010.94060.9406
2026-08-310.94690.9469
2026-08-280.94090.9409
2026-08-270.94280.9428
2026-08-260.93670.9367
2026-08-250.93670.9367
2026-08-240.93430.9343
2026-08-210.93850.9385
2026-08-200.93280.9328
2026-08-190.92900.9290
2026-08-180.94770.9477
2026-08-170.94710.9471
2026-08-140.93570.9357
2026-08-130.93500.9350
2026-08-120.93520.9352
2026-08-110.93210.9321
2026-08-100.93330.9333
2026-08-070.93550.9355
2026-08-060.92590.9259
2026-08-050.92510.9251
2026-08-040.91050.9105
2026-08-030.89870.8987
2026-07-310.90270.9027
2026-07-300.88950.8895
2026-07-290.90340.9034
2026-07-280.90510.9051
2026-07-270.92350.9235
2026-07-240.91400.9140
2026-07-230.92190.9219
2026-07-220.92310.9231
2026-07-210.93070.9307
2026-07-200.91170.9117
2026-07-170.92130.9213
2026-07-160.94560.9456
2026-07-150.95160.9516
2026-07-140.96010.9601
2026-07-130.95460.9546