银河新动能混合C
(017757.jj )
基金经理鲍武斌基金类型混合型成立日期2023-02-13总资产规模223.88万 (2026-06-30) 基金净值2.7135 (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12.64% (1560 / 9467)
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银河新动能混合C(017757) - 历史基金净值数据曲线

最后更新于:2026-09-18

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银河新动能混合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
2026-09-182.71352.7135
2026-09-172.64552.6455
2026-09-162.65742.6574
2026-09-152.55252.5525
2026-09-142.55082.5508
2026-09-112.61192.6119
2026-09-102.61462.6146
2026-09-092.61772.6177
2026-09-082.60512.6051
2026-09-072.63172.6317
2026-09-042.49802.4980
2026-09-032.53892.5389
2026-09-022.54172.5417
2026-09-012.58432.5843
2026-08-312.65202.6520
2026-08-282.63322.6332
2026-08-272.67872.6787
2026-08-262.57672.5767
2026-08-252.55302.5530
2026-08-242.54472.5447
2026-08-212.64192.6419
2026-08-202.60772.6077
2026-08-192.59322.5932
2026-08-182.79192.7919
2026-08-172.80292.8029
2026-08-142.68502.6850
2026-08-132.62882.6288
2026-08-122.61562.6156
2026-08-112.52872.5287
2026-08-102.54882.5488
2026-08-072.59072.5907
2026-08-062.53902.5390
2026-08-052.52002.5200
2026-08-042.46812.4681
2026-08-032.28522.2852
2026-07-312.33742.3374
2026-07-302.25172.2517
2026-07-292.42202.4220
2026-07-282.42632.4263
2026-07-272.67222.6722
2026-07-242.58842.5884
2026-07-232.63712.6371
2026-07-222.68032.6803
2026-07-212.78932.7893
2026-07-202.54982.5498
2026-07-172.60462.6046
2026-07-162.85062.8506
2026-07-152.97322.9732
2026-07-143.04833.0483
2026-07-132.91222.9122