永赢上证科创板50成份指数C
(023438.jj ) 科创50 (季度)
基金经理储可凡基金类型指数型基金成立日期2025-06-20总资产规模6,151.85万 (2026-06-30) 基金净值1.5194 (2026-09-14) 管理费用率0.30%管托费用率0.05% (2026-06-30) 成立以来分红再投入年化收益率40.36% (191 / 6281)
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永赢上证科创板50成份指数C(023438) - 历史基金累计净值数据曲线

最后更新于:2026-09-14

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永赢上证科创板50成份指数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
2026-09-141.51941.5194
2026-09-111.54301.5430
2026-09-101.55891.5589
2026-09-091.56871.5687
2026-09-081.57871.5787
2026-09-071.60161.6016
2026-09-041.56591.5659
2026-09-031.59711.5971
2026-09-021.60291.6029
2026-09-011.63301.6330
2026-08-311.66771.6677
2026-08-281.64671.6467
2026-08-271.67621.6762
2026-08-261.61821.6182
2026-08-251.59261.5926
2026-08-241.59061.5906
2026-08-211.63881.6388
2026-08-201.63761.6376
2026-08-191.65061.6506
2026-08-181.76351.7635
2026-08-171.76211.7621
2026-08-141.69491.6949
2026-08-131.69461.6946
2026-08-121.71261.7126
2026-08-111.68711.6871
2026-08-101.71301.7130
2026-08-071.71911.7191
2026-08-061.67901.6790
2026-08-051.67241.6724
2026-08-041.60081.6008
2026-08-031.54291.5429
2026-07-311.62101.6210
2026-07-301.57511.5751
2026-07-291.65721.6572
2026-07-281.66921.6692
2026-07-271.77431.7743
2026-07-241.74401.7440
2026-07-231.74621.7462
2026-07-221.81061.8106
2026-07-211.84921.8492
2026-07-201.67811.6781
2026-07-171.67491.6749
2026-07-161.79691.7969
2026-07-151.86731.8673
2026-07-141.94491.9449
2026-07-131.92841.9284
2026-07-101.99101.9910
2026-07-092.09922.0992
2026-07-081.94711.9471
2026-07-071.93381.9338