东方核心动力混合C
(014986.jj )
基金经理盛泽基金类型混合型成立日期2022-01-27总资产规模2.94亿 (2026-06-30) 基金净值1.7515 (2026-09-04) 管理费用率0.60%管托费用率0.10% (2026-08-07) 成立以来分红再投入年化收益率6.30% (3647 / 9435)
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东方核心动力混合C(014986) - 历史基金净值数据曲线

最后更新于:2026-09-04

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东方核心动力混合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
2026-09-041.75152.1115
2026-09-031.76412.1241
2026-09-021.75872.1187
2026-09-011.78692.1469
2026-08-311.80112.1611
2026-08-281.79892.1589
2026-08-271.80962.1696
2026-08-261.78412.1441
2026-08-251.76882.1288
2026-08-241.78372.1437
2026-08-211.81482.1748
2026-08-201.79762.1576
2026-08-191.79242.1524
2026-08-181.85702.2170
2026-08-171.86332.2233
2026-08-141.82232.1823
2026-08-131.81492.1749
2026-08-121.82932.1893
2026-08-111.81512.1751
2026-08-101.83712.1971
2026-08-071.83142.1914
2026-08-061.80492.1649
2026-08-051.80452.1645
2026-08-041.76832.1283
2026-08-031.73062.0906
2026-07-311.75672.1167
2026-07-301.73282.0928
2026-07-291.76622.1262
2026-07-281.74732.1073
2026-07-271.81752.1775
2026-07-241.77852.1385
2026-07-231.81122.1712
2026-07-221.80382.1638
2026-07-211.81652.1765
2026-07-201.73962.0996
2026-07-171.72832.0883
2026-07-161.80572.1657
2026-07-151.84192.2019
2026-07-141.85232.2123
2026-07-131.80602.1660
2026-07-101.84852.2085
2026-07-091.88552.2455
2026-07-081.83362.1936
2026-07-071.85882.2188
2026-07-061.88262.2426
2026-07-031.88562.2456
2026-07-021.86832.2283
2026-07-011.93142.2914
2026-06-301.94062.3006
2026-06-291.91262.2726