中欧周期优选混合发起C
(019889.jj )
基金经理任飞基金类型混合型成立日期2023-11-17总资产规模14.88亿 (2026-06-30) 基金净值2.1507 (2026-08-27) 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31.76% (307 / 9409)
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中欧周期优选混合发起C(019889) - 历史基金净值数据曲线

最后更新于:2026-08-27

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中欧周期优选混合发起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
2026-08-272.15072.1507
2026-08-262.12232.1223
2026-08-252.09522.0952
2026-08-242.12602.1260
2026-08-212.12702.1270
2026-08-202.09812.0981
2026-08-192.09692.0969
2026-08-182.11282.1128
2026-08-172.10162.1016
2026-08-142.06922.0692
2026-08-132.05832.0583
2026-08-122.11692.1169
2026-08-112.10792.1079
2026-08-102.15882.1588
2026-08-072.13242.1324
2026-08-062.10102.1010
2026-08-052.07392.0739
2026-08-042.02012.0201
2026-08-032.02252.0225
2026-07-312.03812.0381
2026-07-302.04802.0480
2026-07-292.02982.0298
2026-07-281.99671.9967
2026-07-272.01322.0132
2026-07-241.99621.9962
2026-07-232.05942.0594
2026-07-222.00672.0067
2026-07-211.93141.9314
2026-07-201.90461.9046
2026-07-171.85851.8585
2026-07-161.89511.8951
2026-07-151.91521.9152
2026-07-141.91391.9139
2026-07-131.82481.8248
2026-07-101.84901.8490
2026-07-091.81051.8105
2026-07-081.82551.8255
2026-07-071.85401.8540
2026-07-061.90441.9044
2026-07-031.88801.8880
2026-07-021.83211.8321
2026-07-011.79901.7990
2026-06-301.79781.7978
2026-06-291.83351.8335
2026-06-261.81051.8105
2026-06-251.87181.8718
2026-06-241.94111.9411
2026-06-231.92511.9251
2026-06-222.05142.0514
2026-06-181.97571.9757