长城环保主题混合C
(016061.jj )
基金经理廖瀚博基金类型混合型成立日期2022-06-24总资产规模198.79万 (2026-06-30) 基金净值2.0528 (2026-09-18) 管理费用率1.20%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率-3.32% (8107 / 9455)
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长城环保主题混合C(016061) - 历史基金净值数据曲线

最后更新于:2026-09-18

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长城环保主题混合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
2026-09-182.05282.4499
2026-09-172.01962.4167
2026-09-162.02922.4263
2026-09-152.00482.4019
2026-09-142.02132.4184
2026-09-112.01092.4080
2026-09-102.01942.4165
2026-09-092.04192.4390
2026-09-082.03502.4321
2026-09-072.06032.4574
2026-09-042.01372.4108
2026-09-032.02942.4265
2026-09-022.01882.4159
2026-09-012.04602.4431
2026-08-312.07612.4732
2026-08-282.08542.4825
2026-08-272.11472.5118
2026-08-262.12552.5226
2026-08-252.11862.5157
2026-08-242.12542.5225
2026-08-212.15692.5540
2026-08-202.13372.5308
2026-08-192.12132.5184
2026-08-182.22632.6234
2026-08-172.21702.6141
2026-08-142.15452.5516
2026-08-132.13952.5366
2026-08-122.12542.5225
2026-08-112.08772.4848
2026-08-102.08082.4779
2026-08-072.07022.4673
2026-08-062.03712.4342
2026-08-052.04022.4373
2026-08-042.01162.4087
2026-08-031.96952.3666
2026-07-311.99572.3928
2026-07-301.95312.3502
2026-07-292.04022.4373
2026-07-282.02402.4211
2026-07-272.11812.5152
2026-07-242.06322.4603
2026-07-232.07462.4717
2026-07-222.05122.4483
2026-07-212.05812.4552
2026-07-201.97292.3700
2026-07-172.04952.4466
2026-07-162.18052.5776
2026-07-152.26342.6605
2026-07-142.28222.6793
2026-07-132.21602.6131