嘉实内需精选混合C
(014075.jj )
基金经理吴越基金类型混合型成立日期2022-01-06总资产规模3,550.31万 (2026-06-30) 基金净值0.5871 (2026-09-03) 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-10.80% (9065 / 9423)
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嘉实内需精选混合C(014075) - 历史基金累计净值数据曲线

最后更新于:2026-09-03

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嘉实内需精选混合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
2026-09-030.58710.5871
2026-09-020.58800.5880
2026-09-010.59180.5918
2026-08-310.58710.5871
2026-08-280.58800.5880
2026-08-270.59060.5906
2026-08-260.59480.5948
2026-08-250.59460.5946
2026-08-240.58900.5890
2026-08-210.58800.5880
2026-08-200.59100.5910
2026-08-190.59180.5918
2026-08-180.59390.5939
2026-08-170.59240.5924
2026-08-140.59320.5932
2026-08-130.59340.5934
2026-08-120.59900.5990
2026-08-110.60250.6025
2026-08-100.60690.6069
2026-08-070.59370.5937
2026-08-060.59640.5964
2026-08-050.60170.6017
2026-08-040.59900.5990
2026-08-030.60100.6010
2026-07-310.60570.6057
2026-07-300.61120.6112
2026-07-290.60650.6065
2026-07-280.59160.5916
2026-07-270.58780.5878
2026-07-240.58230.5823
2026-07-230.58900.5890
2026-07-220.58740.5874
2026-07-210.58600.5860
2026-07-200.58610.5861
2026-07-170.57500.5750
2026-07-160.58410.5841
2026-07-150.58180.5818
2026-07-140.56890.5689
2026-07-130.56150.5615
2026-07-100.56170.5617
2026-07-090.55880.5588
2026-07-080.56370.5637
2026-07-070.55920.5592
2026-07-060.56690.5669
2026-07-030.55970.5597
2026-07-020.55210.5521
2026-07-010.54880.5488
2026-06-300.54460.5446
2026-06-290.55390.5539
2026-06-260.54110.5411