富国成长动力混合C
(015715.jj )
基金经理曹晋基金类型混合型成立日期2022-06-16总资产规模3.05亿 (2026-06-30) 基金净值1.8131 (2026-09-11) 管理费用率1.20%管托费用率0.20% (2026-09-01) 成立以来分红再投入年化收益率17.70% (804 / 9448)
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富国成长动力混合C(015715) - 历史基金净值数据曲线

最后更新于:2026-09-11

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富国成长动力混合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
2026-09-111.81311.8131
2026-09-101.81921.8192
2026-09-091.83041.8304
2026-09-081.83521.8352
2026-09-071.83591.8359
2026-09-041.77331.7733
2026-09-031.79451.7945
2026-09-021.79801.7980
2026-09-011.83271.8327
2026-08-311.86961.8696
2026-08-281.84951.8495
2026-08-271.86811.8681
2026-08-261.81441.8144
2026-08-251.80201.8020
2026-08-241.81961.8196
2026-08-211.86631.8663
2026-08-201.84741.8474
2026-08-191.84661.8466
2026-08-181.96281.9628
2026-08-171.98271.9827
2026-08-141.89331.8933
2026-08-131.87191.8719
2026-08-121.88491.8849
2026-08-111.86051.8605
2026-08-101.85101.8510
2026-08-071.88771.8877
2026-08-061.85271.8527
2026-08-051.84661.8466
2026-08-041.81781.8178
2026-08-031.72741.7274
2026-07-311.77601.7760
2026-07-301.71091.7109
2026-07-291.84171.8417
2026-07-281.87011.8701
2026-07-272.02652.0265
2026-07-241.97951.9795
2026-07-232.00162.0016
2026-07-222.07082.0708
2026-07-212.14282.1428
2026-07-201.98681.9868
2026-07-172.00892.0089
2026-07-162.16852.1685
2026-07-152.21582.2158
2026-07-142.26102.2610
2026-07-132.17992.1799
2026-07-102.24912.2491
2026-07-092.37542.3754
2026-07-082.23182.2318
2026-07-072.23592.2359
2026-07-062.23892.2389