国金量化多策略C
(017874.jj ) 国金基金管理有限公司
基金类型混合型成立日期2023-02-22总资产规模36.63亿 (2025-12-31) 基金净值1.5052 (2026-01-23) 基金经理姚加红马芳管理费用率1.20%管托费用率0.20% (2026-01-15) 成立以来分红再投入年化收益率13.35% (1811 / 9002)
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国金量化多策略C(017874) - 历史基金净值数据曲线

最后更新于:2026-01-23

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国金量化多策略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
2026-01-231.50521.7052
2026-01-221.49491.6949
2026-01-211.48701.6870
2026-01-201.47801.6780
2026-01-191.48831.6883
2026-01-161.48001.6800
2026-01-151.47611.6761
2026-01-141.46241.6624
2026-01-131.46131.6613
2026-01-121.46821.6682
2026-01-091.45551.6555
2026-01-081.44781.6478
2026-01-071.46051.6605
2026-01-061.45561.6556
2026-01-051.43381.6338
2025-12-311.40291.6029
2025-12-301.41361.6136
2025-12-291.41621.6162
2025-12-261.42901.6290
2025-12-251.41261.6126
2025-12-241.41281.6128
2025-12-231.39511.5951
2025-12-221.38541.5854
2025-12-191.36171.5617
2025-12-181.35891.5589
2025-12-171.37441.5744
2025-12-161.34011.5401
2025-12-151.36061.5606
2025-12-121.38021.5802
2025-12-111.37341.5734
2025-12-101.39101.5910
2025-12-091.39841.5984
2025-12-081.39981.5998
2025-12-051.37641.5764
2025-12-041.36911.5691
2025-12-031.36961.5696
2025-12-021.38261.5826
2025-12-011.39551.5955
2025-11-281.38341.5834
2025-11-271.37081.5708
2025-11-261.37131.5713
2025-11-251.35751.5575
2025-11-241.33231.5323
2025-11-211.33691.5369
2025-11-201.39821.5982
2025-11-191.41411.6141
2025-11-181.40851.6085
2025-11-171.42841.6284
2025-11-141.42041.6204
2025-11-131.44881.6488