易米鑫选品质混合C
(019436.jj ) 易米基金管理有限公司
基金类型混合型成立日期2024-03-29总资产规模2,177.33万 (2025-09-30) 基金净值1.1714 (2025-12-30) 基金经理包丽华管理费用率1.20%管托费用率0.20% (2025-06-30) 成立以来分红再投入年化收益率9.43% (2403 / 8953)
备注 (0): 双击编辑备注
发表讨论

易米鑫选品质混合C(019436) - 历史基金净值数据曲线

最后更新于:2025-12-30

数据选项
加载中......
易米鑫选品质混合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
2025-12-301.17141.1714
2025-12-291.17021.1702
2025-12-261.18121.1812
2025-12-251.18011.1801
2025-12-241.17821.1782
2025-12-231.17911.1791
2025-12-221.18641.1864
2025-12-191.18281.1828
2025-12-181.17621.1762
2025-12-171.18201.1820
2025-12-161.17081.1708
2025-12-151.18081.1808
2025-12-121.19521.1952
2025-12-111.18541.1854
2025-12-101.19121.1912
2025-12-091.18681.1868
2025-12-081.20151.2015
2025-12-051.21111.2111
2025-12-041.20371.2037
2025-12-031.20431.2043
2025-12-021.21261.2126
2025-12-011.21291.2129
2025-11-281.20411.2041
2025-11-271.20521.2052
2025-11-261.20921.2092
2025-11-251.21271.2127
2025-11-241.20631.2063
2025-11-211.19131.1913
2025-11-201.20841.2084
2025-11-191.20601.2060
2025-11-181.20941.2094
2025-11-171.22271.2227
2025-11-141.22851.2285
2025-11-131.24681.2468
2025-11-121.23761.2376
2025-11-111.23551.2355
2025-11-101.23821.2382
2025-11-071.22061.2206
2025-11-061.23431.2343
2025-11-051.21161.2116
2025-11-041.20831.2083
2025-11-031.21981.2198
2025-10-311.21391.2139
2025-10-301.21711.2171
2025-10-291.22081.2208
2025-10-281.22101.2210
2025-10-271.23001.2300
2025-10-241.22261.2226
2025-10-231.22121.2212
2025-10-221.21491.2149