金信精选成长混合C
(018777.jj )
基金经理孔学兵基金类型混合型成立日期2023-09-14总资产规模3.96亿 (2026-06-30) 基金净值2.4239 (2026-09-14) 管理费用率1.20%管托费用率0.15% (2026-06-30) 成立以来分红再投入年化收益率34.33% (214 / 9450)
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金信精选成长混合C(018777) - 历史基金累计净值数据曲线

最后更新于:2026-09-14

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金信精选成长混合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
2026-09-142.42392.4239
2026-09-112.38782.3878
2026-09-102.44682.4468
2026-09-092.46142.4614
2026-09-082.46992.4699
2026-09-072.50102.5010
2026-09-042.38602.3860
2026-09-032.49802.4980
2026-09-022.50542.5054
2026-09-012.53792.5379
2026-08-312.66352.6635
2026-08-282.61822.6182
2026-08-272.66792.6679
2026-08-262.55842.5584
2026-08-252.51522.5152
2026-08-242.54882.5488
2026-08-212.57422.5742
2026-08-202.56952.5695
2026-08-192.53002.5300
2026-08-182.72822.7282
2026-08-172.69732.6973
2026-08-142.57872.5787
2026-08-132.54702.5470
2026-08-122.60002.6000
2026-08-112.50512.5051
2026-08-102.53392.5339
2026-08-072.51752.5175
2026-08-062.42042.4204
2026-08-052.36082.3608
2026-08-042.15232.1523
2026-08-032.00492.0049
2026-07-312.14242.1424
2026-07-302.05292.0529
2026-07-292.26832.2683
2026-07-282.40312.4031
2026-07-272.47122.4712
2026-07-242.37452.3745
2026-07-232.36072.3607
2026-07-222.45092.4509
2026-07-212.50822.5082
2026-07-202.18592.1859
2026-07-172.44292.4429
2026-07-162.75232.7523
2026-07-152.91842.9184
2026-07-143.09413.0941
2026-07-133.09163.0916
2026-07-103.26113.2611
2026-07-093.41063.4106
2026-07-083.13493.1349
2026-07-073.07313.0731