金信周期价值混合C
(023100.jj ) 金信基金管理有限公司
基金类型混合型成立日期2025-02-21总资产规模8,280.91万 (2025-09-30) 基金净值1.4497 (2026-01-14) 基金经理黄飙管理费用率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44.97% (181 / 8996)
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金信周期价值混合C(023100) - 历史基金净值数据曲线

最后更新于:2026-01-14

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金信周期价值混合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
2026-01-141.44971.4497
2026-01-131.43911.4391
2026-01-121.43791.4379
2026-01-091.40761.4076
2026-01-081.39201.3920
2026-01-071.38891.3889
2026-01-061.37761.3776
2026-01-051.36151.3615
2025-12-311.32901.3290
2025-12-301.32901.3290
2025-12-291.32951.3295
2025-12-261.33881.3388
2025-12-251.34201.3420
2025-12-241.33631.3363
2025-12-231.32801.3280
2025-12-221.32821.3282
2025-12-191.33011.3301
2025-12-181.32091.3209
2025-12-171.32191.3219
2025-12-161.31161.3116
2025-12-151.32381.3238
2025-12-121.33091.3309
2025-12-111.31681.3168
2025-12-101.32901.3290
2025-12-091.32941.3294
2025-12-081.33811.3381
2025-12-051.33301.3330
2025-12-041.32321.3232
2025-12-031.32081.3208
2025-12-021.32661.3266
2025-12-011.33521.3352
2025-11-281.33311.3331
2025-11-271.32921.3292
2025-11-261.32921.3292
2025-11-251.32951.3295
2025-11-241.32041.3204
2025-11-211.30241.3024
2025-11-201.32281.3228
2025-11-191.32841.3284
2025-11-181.33811.3381
2025-11-171.34691.3469
2025-11-141.35241.3524
2025-11-131.36591.3659
2025-11-121.36171.3617
2025-11-111.36401.3640
2025-11-101.36241.3624
2025-11-071.34931.3493
2025-11-061.36141.3614
2025-11-051.35011.3501
2025-11-041.35721.3572