汇丰晋信大盘股票C
(019243.jj )
基金经理闵良超基金类型股票型成立日期2023-11-13总资产规模1.84亿 (2026-06-30) 基金净值5.3440 (2026-09-11) 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12.79% (1475 / 6281)
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汇丰晋信大盘股票C(019243) - 历史基金净值数据曲线

最后更新于:2026-09-11

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汇丰晋信大盘股票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
2026-09-115.34405.3440
2026-09-105.40575.4057
2026-09-095.45565.4556
2026-09-085.43585.4358
2026-09-075.43685.4368
2026-09-045.45285.4528
2026-09-035.43545.4354
2026-09-025.43015.4301
2026-09-015.51215.5121
2026-08-315.48845.4884
2026-08-285.50925.5092
2026-08-275.51735.5173
2026-08-265.50095.5009
2026-08-255.42015.4201
2026-08-245.39165.3916
2026-08-215.41975.4197
2026-08-205.44505.4450
2026-08-195.42925.4292
2026-08-185.48335.4833
2026-08-175.47795.4779
2026-08-145.43175.4317
2026-08-135.45885.4588
2026-08-125.52655.5265
2026-08-115.51035.5103
2026-08-105.50075.5007
2026-08-075.44395.4439
2026-08-065.46105.4610
2026-08-055.48575.4857
2026-08-045.45135.4513
2026-08-035.50835.5083
2026-07-315.54295.5429
2026-07-305.58275.5827
2026-07-295.55455.5545
2026-07-285.44505.4450
2026-07-275.42795.4279
2026-07-245.35805.3580
2026-07-235.46705.4670
2026-07-225.40325.4032
2026-07-215.36635.3663
2026-07-205.32795.3279
2026-07-175.18125.1812
2026-07-165.24455.2445
2026-07-155.25475.2547
2026-07-145.14435.1443
2026-07-135.04225.0422
2026-07-105.08505.0850
2026-07-095.06405.0640
2026-07-085.09215.0921
2026-07-075.15565.1556
2026-07-065.21445.2144