国泰恒生A股电网设备ETF发起联接C
(023639.jj ) 国泰基金管理有限公司
基金经理朱碧莹基金类型指数型基金(ETF,联接型)成立日期2025-03-27总资产规模27.79亿 (2026-03-31) 基金净值1.8541 (2026-07-10) 管理费用率0.50%管托费用率0.10% (2025-10-15) 成立以来分红再投入年化收益率62.79% (261 / 6108)
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国泰恒生A股电网设备ETF发起联接C(023639) - 历史基金累计净值数据曲线

最后更新于:2026-07-10

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国泰恒生A股电网设备ETF发起联接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
2026-07-101.85411.8541
2026-07-091.86931.8693
2026-07-081.84081.8408
2026-07-071.90701.9070
2026-07-061.97171.9717
2026-07-032.00222.0022
2026-07-021.98531.9853
2026-07-012.06332.0633
2026-06-302.12582.1258
2026-06-292.10012.1001
2026-06-262.11582.1158
2026-06-252.23632.2363
2026-06-242.20792.2079
2026-06-232.21442.2144
2026-06-222.26752.2675
2026-06-182.17702.1770
2026-06-172.15332.1533
2026-06-162.14292.1429
2026-06-152.07942.0794
2026-06-122.01202.0120
2026-06-112.01172.0117
2026-06-102.03262.0326
2026-06-092.10832.1083
2026-06-082.04102.0410
2026-06-052.08572.0857
2026-06-042.11962.1196
2026-06-032.10492.1049
2026-06-022.08072.0807
2026-06-012.06922.0692
2026-05-292.06712.0671
2026-05-282.08102.0810
2026-05-272.06662.0666
2026-05-262.06712.0671
2026-05-252.12502.1250
2026-05-222.10562.1056
2026-05-212.06702.0670
2026-05-202.16462.1646
2026-05-192.15422.1542
2026-05-182.10882.1088
2026-05-152.06822.0682
2026-05-142.13142.1314
2026-05-132.19102.1910
2026-05-122.14082.1408
2026-05-112.11752.1175
2026-05-082.08472.0847
2026-05-072.08372.0837
2026-05-062.03252.0325
2026-04-301.95661.9566
2026-04-291.97381.9738
2026-04-281.96061.9606