国泰估值优势混合(LOF)C
(016616.jj ) 国泰基金管理有限公司
基金经理王兆祥基金类型混合型(LOF)成立日期2022-09-09总资产规模10.52亿 (2026-03-31) 基金净值4.0240 (2026-07-10) 管理费用率1.20%管托费用率0.20% (2025-10-15) 成立以来分红再投入年化收益率4.89% (4800 / 9311)
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国泰估值优势混合(LOF)C(016616) - 历史基金净值数据曲线

最后更新于:2026-07-10

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国泰估值优势混合(LOF)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
2026-07-104.02404.0240
2026-07-094.08664.0866
2026-07-084.06024.0602
2026-07-074.32044.3204
2026-07-064.42554.4255
2026-07-034.52734.5273
2026-07-024.38244.3824
2026-07-014.50314.5031
2026-06-304.49564.4956
2026-06-294.32334.3233
2026-06-264.21534.2153
2026-06-254.32234.3223
2026-06-244.40024.4002
2026-06-234.41124.4112
2026-06-224.52094.5209
2026-06-184.47674.4767
2026-06-174.43134.4313
2026-06-164.39124.3912
2026-06-154.31554.3155
2026-06-124.15294.1529
2026-06-114.19794.1979
2026-06-104.19884.1988
2026-06-094.32224.3222
2026-06-084.23734.2373
2026-06-054.39464.3946
2026-06-044.49334.4933
2026-06-034.48624.4862
2026-06-024.52544.5254
2026-06-014.50584.5058
2026-05-294.57604.5760
2026-05-284.79524.7952
2026-05-274.83994.8399
2026-05-264.84534.8453
2026-05-254.90624.9062
2026-05-224.89644.8964
2026-05-214.83344.8334
2026-05-204.90824.9082
2026-05-194.78474.7847
2026-05-184.62944.6294
2026-05-154.54204.5420
2026-05-144.48154.4815
2026-05-134.58364.5836
2026-05-124.53714.5371
2026-05-114.57144.5714
2026-05-084.49944.4994
2026-05-074.54654.5465
2026-05-064.51504.5150
2026-04-304.40554.4055
2026-04-294.33074.3307
2026-04-284.20414.2041