长盛量化红利混合C
(020155.jj )
基金经理王宁陈亘斯基金类型混合型成立日期2023-12-04总资产规模2.51亿 (2026-06-30) 基金净值2.2217 (2026-09-16) 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6.69% (3391 / 9454)
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长盛量化红利混合C(020155) - 历史基金累计净值数据曲线

最后更新于:2026-09-17

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长盛量化红利混合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
2026-09-172.21592.8779
2026-09-162.22172.8837
2026-09-152.22882.8908
2026-09-142.23482.8968
2026-09-112.22302.8850
2026-09-102.24552.9075
2026-09-092.25472.9167
2026-09-082.24272.9047
2026-09-072.23792.8999
2026-09-042.25042.9124
2026-09-032.25012.9121
2026-09-022.24432.9063
2026-09-012.27322.9352
2026-08-312.26842.9304
2026-08-282.26782.9298
2026-08-272.25592.9179
2026-08-262.24482.9068
2026-08-252.23662.8986
2026-08-242.23762.8996
2026-08-212.23252.8945
2026-08-202.24002.9020
2026-08-192.22822.8902
2026-08-182.23922.9012
2026-08-172.22432.8863
2026-08-142.20822.8702
2026-08-132.21242.8744
2026-08-122.22832.8903
2026-08-112.23722.8992
2026-08-102.25132.9133
2026-08-072.22602.8880
2026-08-062.22992.8919
2026-08-052.22202.8840
2026-08-042.22032.8823
2026-08-032.24272.9047
2026-07-312.24422.9062
2026-07-302.24002.9020
2026-07-292.22382.8858
2026-07-282.18582.8478
2026-07-272.18102.8430
2026-07-242.16302.8250
2026-07-232.20522.8672
2026-07-222.18502.8470
2026-07-212.17402.8360
2026-07-202.17872.8407
2026-07-172.12582.7878
2026-07-162.15592.8179
2026-07-152.16252.8245
2026-07-142.14252.8045
2026-07-132.11422.7762
2026-07-102.11682.7788