万家180指数C
(022741.jj ) 上证180 (半年)
基金经理贺方舟基金类型指数型基金成立日期2024-12-05总资产规模32.34万 (2026-06-30) 基金净值0.9805 (2026-09-11) 管理费用率1.00%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率6.88% (2780 / 6281)
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万家180指数C(022741) - 历史基金净值数据曲线

最后更新于:2026-09-11

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万家180指数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
2026-09-110.98051.1522
2026-09-100.99151.1632
2026-09-090.99541.1671
2026-09-080.99291.1646
2026-09-070.99241.1641
2026-09-040.99331.1650
2026-09-030.99391.1656
2026-09-020.99161.1633
2026-09-011.00161.1733
2026-08-311.00331.1750
2026-08-281.00111.1728
2026-08-271.00331.1750
2026-08-260.99301.1647
2026-08-250.98511.1568
2026-08-240.98421.1559
2026-08-210.99231.1640
2026-08-200.99141.1631
2026-08-190.99291.1646
2026-08-181.01361.1853
2026-08-171.01511.1868
2026-08-141.00231.1740
2026-08-131.00271.1744
2026-08-121.01051.1822
2026-08-111.00741.1791
2026-08-101.02111.1928
2026-08-071.01651.1882
2026-08-061.00361.1753
2026-08-051.00341.1751
2026-08-040.98611.1578
2026-08-030.98421.1559
2026-07-310.99451.1662
2026-07-300.98951.1612
2026-07-290.99031.1620
2026-07-280.98701.1587
2026-07-270.99951.1712
2026-07-240.99601.1677
2026-07-231.00991.1816
2026-07-221.00951.1812
2026-07-211.00531.1770
2026-07-200.98241.1541
2026-07-170.96551.1372
2026-07-160.99191.1636
2026-07-151.01061.1823
2026-07-141.01231.1840
2026-07-130.99741.1691
2026-07-101.01701.1887
2026-07-091.02591.1976
2026-07-081.00421.1759
2026-07-071.01091.1826
2026-07-061.02501.1967