大成创优鑫选混合C
(018863.jj )
基金经理韩创基金类型混合型成立日期2025-08-29总资产规模8,451.36万 (2026-06-30) 基金净值1.0337 (2026-08-31) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率3.42% (5349 / 9408)
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大成创优鑫选混合C(018863) - 历史基金净值数据曲线

最后更新于:2026-08-31

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大成创优鑫选混合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
2026-08-311.03371.0337
2026-08-281.03351.0335
2026-08-271.01441.0144
2026-08-261.00541.0054
2026-08-251.00651.0065
2026-08-241.02361.0236
2026-08-211.02641.0264
2026-08-201.00161.0016
2026-08-190.98560.9856
2026-08-180.98640.9864
2026-08-170.97620.9762
2026-08-140.95470.9547
2026-08-130.95410.9541
2026-08-120.97650.9765
2026-08-110.96830.9683
2026-08-100.99060.9906
2026-08-070.97780.9778
2026-08-060.95720.9572
2026-08-050.94640.9464
2026-08-040.91960.9196
2026-08-030.91750.9175
2026-07-310.92330.9233
2026-07-300.91520.9152
2026-07-290.91560.9156
2026-07-280.89650.8965
2026-07-270.90200.9020
2026-07-240.89320.8932
2026-07-230.92410.9241
2026-07-220.91370.9137
2026-07-210.89700.8970
2026-07-200.88040.8804
2026-07-170.84770.8477
2026-07-160.86970.8697
2026-07-150.87320.8732
2026-07-140.87240.8724
2026-07-130.84910.8491
2026-07-100.86110.8611
2026-07-090.85580.8558
2026-07-080.86020.8602
2026-07-070.86680.8668
2026-07-060.88680.8868
2026-07-030.88900.8890
2026-07-020.87000.8700
2026-07-010.86570.8657
2026-06-300.85000.8500
2026-06-290.85600.8560
2026-06-260.84390.8439
2026-06-250.86200.8620
2026-06-240.88510.8851
2026-06-230.89640.8964