国泰优势行业混合C
(015585.jj ) 国泰基金管理有限公司
基金类型混合型成立日期2022-05-17总资产规模3,794.88万 (2025-09-30) 基金净值2.5658 (2025-12-23) 基金经理彭凌志管理费用率1.20%管托费用率0.20% (2025-09-30) 成立以来分红再投入年化收益率8.53% (2645 / 8941)
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国泰优势行业混合C(015585) - 历史基金净值数据曲线

最后更新于:2025-12-23

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国泰优势行业混合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
2025-12-232.56582.5658
2025-12-222.52452.5245
2025-12-192.40822.4082
2025-12-182.41012.4101
2025-12-172.46352.4635
2025-12-162.38662.3866
2025-12-152.42092.4209
2025-12-122.47892.4789
2025-12-112.42252.4225
2025-12-102.45342.4534
2025-12-092.46122.4612
2025-12-082.45822.4582
2025-12-052.39312.3931
2025-12-042.38502.3850
2025-12-032.30912.3091
2025-12-022.31732.3173
2025-12-012.34792.3479
2025-11-282.34702.3470
2025-11-272.30782.3078
2025-11-262.31912.3191
2025-11-252.26952.2695
2025-11-242.26032.2603
2025-11-212.25682.2568
2025-11-202.36532.3653
2025-11-192.40272.4027
2025-11-182.42992.4299
2025-11-172.37342.3734
2025-11-142.39472.3947
2025-11-132.47022.4702
2025-11-122.45592.4559
2025-11-112.45142.4514
2025-11-102.51612.5161
2025-11-072.53452.5345
2025-11-062.54232.5423
2025-11-052.42722.4272
2025-11-042.43492.4349
2025-11-032.40972.4097
2025-10-312.43422.4342
2025-10-302.55082.5508
2025-10-292.60642.6064
2025-10-282.60442.6044
2025-10-272.61622.6162
2025-10-242.53572.5357
2025-10-232.38222.3822
2025-10-222.40152.4015
2025-10-212.39262.3926
2025-10-202.32492.3249
2025-10-172.31352.3135
2025-10-162.40002.4000
2025-10-152.41492.4149