中泰兴为价值精选混合C
(013777.jj ) 中泰证券(上海)资产管理有限公司
基金经理姜诚基金类型混合型成立日期2022-01-18总资产规模4.36亿 (2026-06-30) 基金净值1.2059 (2026-07-23) 管理费用率1.20%管托费用率0.20% (2026-04-03) 成立以来分红再投入年化收益率4.24% (4810 / 9318)
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中泰兴为价值精选混合C(013777) - 历史基金净值数据曲线

最后更新于:2026-07-23

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中泰兴为价值精选混合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
2026-07-231.20591.2059
2026-07-221.19851.1985
2026-07-211.18911.1891
2026-07-201.19391.1939
2026-07-171.16281.1628
2026-07-161.16581.1658
2026-07-151.15881.1588
2026-07-141.14761.1476
2026-07-131.13741.1374
2026-07-101.13141.1314
2026-07-091.12111.1211
2026-07-081.13291.1329
2026-07-071.11921.1192
2026-07-061.13051.1305
2026-07-031.10721.1072
2026-07-021.10081.1008
2026-07-011.08461.0846
2026-06-301.08021.0802
2026-06-291.09721.0972
2026-06-261.08891.0889
2026-06-251.09841.0984
2026-06-241.11211.1121
2026-06-231.12221.1222
2026-06-221.13531.1353
2026-06-181.13041.1304
2026-06-171.17001.1700
2026-06-161.18671.1867
2026-06-151.20591.2059
2026-06-121.21441.2144
2026-06-111.19301.1930
2026-06-101.19091.1909
2026-06-091.18521.1852
2026-06-081.18231.1823
2026-06-051.19001.1900
2026-06-041.19521.1952
2026-06-031.20651.2065
2026-06-021.21721.2172
2026-06-011.21431.2143
2026-05-291.19881.1988
2026-05-281.18151.1815
2026-05-271.19231.1923
2026-05-261.19871.1987
2026-05-251.19471.1947
2026-05-221.19741.1974
2026-05-211.19861.1986
2026-05-201.20971.2097
2026-05-191.21621.2162
2026-05-181.22051.2205
2026-05-151.24661.2466
2026-05-141.25101.2510