中银景福回报混合C
(015089.jj )
基金经理涂海强基金类型混合型成立日期2022-03-15总资产规模464.03万 (2026-06-30) 基金净值1.4972 (2026-08-27) 管理费用率0.80%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率3.05% (5616 / 9384)
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中银景福回报混合C(015089) - 历史基金累计净值数据曲线

最后更新于:2026-08-27

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中银景福回报混合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
2026-08-271.49721.4972
2026-08-261.49731.4973
2026-08-251.49401.4940
2026-08-241.49231.4923
2026-08-211.49361.4936
2026-08-201.49781.4978
2026-08-191.50041.5004
2026-08-181.50591.5059
2026-08-171.50321.5032
2026-08-141.50121.5012
2026-08-131.50391.5039
2026-08-121.51051.5105
2026-08-111.51051.5105
2026-08-101.51441.5144
2026-08-071.50701.5070
2026-08-061.50711.5071
2026-08-051.51031.5103
2026-08-041.50941.5094
2026-08-031.51571.5157
2026-07-311.51761.5176
2026-07-301.51861.5186
2026-07-291.51211.5121
2026-07-281.50221.5022
2026-07-271.49861.4986
2026-07-241.49611.4961
2026-07-231.50811.5081
2026-07-221.50261.5026
2026-07-211.49941.4994
2026-07-201.49911.4991
2026-07-171.48481.4848
2026-07-161.49071.4907
2026-07-151.49131.4913
2026-07-141.48201.4820
2026-07-131.47531.4753
2026-07-101.47631.4763
2026-07-091.47381.4738
2026-07-081.47431.4743
2026-07-071.47921.4792
2026-07-061.48821.4882
2026-07-031.48141.4814
2026-07-021.47721.4772
2026-07-011.47781.4778
2026-06-301.46201.4620
2026-06-291.46641.4664
2026-06-261.45131.4513
2026-06-251.46331.4633
2026-06-241.46031.4603
2026-06-231.46551.4655
2026-06-221.47181.4718
2026-06-181.45411.4541