国联上证科创板综合指数增强C
(023912.jj ) 科创综指 (定期) 国联基金管理有限公司
基金类型指数型基金成立日期2025-06-06总资产规模5,278.51万 (2025-12-31) 基金净值1.4372 (2026-01-28) 基金经理王喆黄磊鑫管理费用率0.80%管托费用率0.15% (2025-06-30) 成立以来分红再投入年化收益率43.72% (469 / 5611)
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国联上证科创板综合指数增强C(023912) - 历史基金累计净值数据曲线

最后更新于:2026-01-28

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国联上证科创板综合指数增强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
2026-01-281.43721.4372
2026-01-271.44281.4428
2026-01-261.43131.4313
2026-01-231.45441.4544
2026-01-221.43491.4349
2026-01-211.42971.4297
2026-01-201.40191.4019
2026-01-191.41881.4188
2026-01-161.42101.4210
2026-01-151.40911.4091
2026-01-141.41551.4155
2026-01-131.39871.3987
2026-01-121.42851.4285
2026-01-091.40331.4033
2026-01-081.38311.3831
2026-01-071.36771.3677
2026-01-061.35741.3574
2026-01-051.34191.3419
2025-12-311.30151.3015
2025-12-301.30781.3078
2025-12-291.30171.3017
2025-12-261.30061.3006
2025-12-251.30131.3013
2025-12-241.29371.2937
2025-12-231.28001.2800
2025-12-221.27561.2756
2025-12-191.26081.2608
2025-12-181.25451.2545
2025-12-171.26071.2607
2025-12-161.23881.2388
2025-12-151.26151.2615
2025-12-121.28191.2819
2025-12-111.26741.2674
2025-12-101.28381.2838
2025-12-091.28511.2851
2025-12-081.29011.2901
2025-12-051.27161.2716
2025-12-041.26161.2616
2025-12-031.25421.2542
2025-12-021.26711.2671
2025-12-011.28081.2808
2025-11-281.27431.2743
2025-11-271.25961.2596
2025-11-261.25481.2548
2025-11-251.24871.2487
2025-11-241.23751.2375
2025-11-211.21871.2187
2025-11-201.25941.2594
2025-11-191.26771.2677
2025-11-181.28321.2832