摩根领先优选混合C
(017098.jj )
基金经理徐项楠基金类型混合型成立日期2022-11-11总资产规模43.31万 (2026-06-30) 基金净值0.8559 (2026-09-15) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率-6.72% (8588 / 9452)
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摩根领先优选混合C(017098) - 历史基金累计净值数据曲线

最后更新于:2026-09-15

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摩根领先优选混合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
2026-09-150.85590.8777
2026-09-140.85280.8746
2026-09-110.87320.8950
2026-09-100.87230.8941
2026-09-090.87650.8983
2026-09-080.86990.8917
2026-09-070.88320.9050
2026-09-040.84560.8674
2026-09-030.86170.8835
2026-09-020.86420.8860
2026-09-010.87540.8972
2026-08-310.89780.9196
2026-08-280.87990.9017
2026-08-270.89230.9141
2026-08-260.85560.8774
2026-08-250.85050.8723
2026-08-240.84330.8651
2026-08-210.88430.9061
2026-08-200.86350.8853
2026-08-190.86170.8835
2026-08-180.93520.9570
2026-08-170.94960.9714
2026-08-140.90110.9229
2026-08-130.88980.9116
2026-08-120.88950.9113
2026-08-110.86360.8854
2026-08-100.86550.8873
2026-08-070.88740.9092
2026-08-060.85820.8800
2026-08-050.84720.8690
2026-08-040.82220.8440
2026-08-030.76390.7857
2026-07-310.78380.8056
2026-07-300.75820.7800
2026-07-290.81620.8380
2026-07-280.81530.8371
2026-07-270.89740.9192
2026-07-240.86400.8858
2026-07-230.87980.9016
2026-07-220.89120.9130
2026-07-210.93440.9562
2026-07-200.86560.8874
2026-07-170.89170.9135
2026-07-160.97200.9938
2026-07-151.00381.0256
2026-07-141.01991.0417
2026-07-130.97230.9941
2026-07-101.02591.0477
2026-07-091.09021.1120
2026-07-081.03011.0519