长城久祥混合C
(017462.jj ) 长城基金管理有限公司
基金类型混合型成立日期2022-11-30总资产规模4,941.00万 (2025-12-31) 基金净值1.7903 (2026-02-10) 基金经理刘疆管理费用率1.20%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率23.84% (641 / 9089)
备注 (0): 双击编辑备注
发表讨论

长城久祥混合C(017462) - 历史基金净值数据曲线

最后更新于:2026-02-10

数据选项
加载中......
长城久祥混合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
2026-02-101.79031.7903
2026-02-091.83111.8311
2026-02-061.68641.6864
2026-02-051.71061.7106
2026-02-041.79751.7975
2026-02-031.81281.8128
2026-02-021.69711.6971
2026-01-301.75081.7508
2026-01-291.65521.6552
2026-01-281.69051.6905
2026-01-271.67421.6742
2026-01-261.59791.5979
2026-01-231.61141.6114
2026-01-221.64151.6415
2026-01-211.58881.5888
2026-01-201.55461.5546
2026-01-191.62911.6291
2026-01-161.67051.6705
2026-01-151.64921.6492
2026-01-141.62651.6265
2026-01-131.58841.5884
2026-01-121.65141.6514
2026-01-091.65611.6561
2026-01-081.62381.6238
2026-01-071.65341.6534
2026-01-061.59821.5982
2026-01-051.63111.6311
2025-12-311.62241.6224
2025-12-301.67211.6721
2025-12-291.67331.6733
2025-12-261.66081.6608
2025-12-251.69091.6909
2025-12-241.69161.6916
2025-12-231.67601.6760
2025-12-221.66951.6695
2025-12-191.59791.5979
2025-12-181.63211.6321
2025-12-171.65311.6531
2025-12-161.56781.5678
2025-12-151.62361.6236
2025-12-121.69621.6962
2025-12-111.63551.6355
2025-12-101.68831.6883
2025-12-091.64821.6482
2025-12-081.60321.6032
2025-12-051.47681.4768
2025-12-041.43971.4397
2025-12-031.42641.4264
2025-12-021.44631.4463
2025-12-011.45231.4523