国联消费精选混合C
(018339.jj ) 国联基金管理有限公司
基金类型混合型成立日期2023-06-02总资产规模1,243.21万 (2025-09-30) 基金净值1.0311 (2025-11-18) 管理费用率1.20%管托费用率0.20% (2025-09-10) 成立以来分红再投入年化收益率1.25% (6547 / 8947)
备注 (0): 双击编辑备注
发表讨论

国联消费精选混合C(018339) - 历史基金净值数据曲线

最后更新于:2025-11-18

数据选项
加载中......
国联消费精选混合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
2025-11-181.03111.0311
2025-11-171.03931.0393
2025-11-141.04791.0479
2025-11-131.06241.0624
2025-11-121.05711.0571
2025-11-111.04781.0478
2025-11-101.05161.0516
2025-11-071.03131.0313
2025-11-061.04471.0447
2025-11-051.04191.0419
2025-11-041.04021.0402
2025-11-031.06361.0636
2025-10-311.06261.0626
2025-10-301.05601.0560
2025-10-291.06731.0673
2025-10-281.06551.0655
2025-10-271.07891.0789
2025-10-241.07221.0722
2025-10-231.06811.0681
2025-10-221.07341.0734
2025-10-211.09091.0909
2025-10-201.08661.0866
2025-10-171.08611.0861
2025-10-161.11111.1111
2025-10-151.10641.1064
2025-10-141.07671.0767
2025-10-131.09461.0946
2025-10-101.10281.1028
2025-10-091.11361.1136
2025-09-301.12041.1204
2025-09-291.11331.1133
2025-09-261.11041.1104
2025-09-251.12011.1201
2025-09-241.12281.1228
2025-09-231.11471.1147
2025-09-221.12651.1265
2025-09-191.12911.1291
2025-09-181.12761.1276
2025-09-171.13981.1398
2025-09-161.13771.1377
2025-09-151.14231.1423
2025-09-121.13741.1374
2025-09-111.13401.1340
2025-09-101.14101.1410
2025-09-091.14201.1420
2025-09-081.13921.1392
2025-09-051.14071.1407
2025-09-041.10871.1087
2025-09-031.11941.1194
2025-09-021.12731.1273