国联安上证科创板综合指数增强C
(024026.jj ) 科创综指 (定期) 国联安基金管理有限公司
基金经理章椹元冯浩何贤发基金类型指数型基金成立日期2025-08-29总资产规模1.27亿 (2026-06-30) 基金净值1.2445 (2026-07-24) 管理费用率0.80%管托费用率0.10% (2026-05-15) 成立以来分红再投入年化收益率24.45% (631 / 6139)
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国联安上证科创板综合指数增强C(024026) - 历史基金累计净值数据曲线

最后更新于:2026-07-24

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国联安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
2026-07-241.24451.2445
2026-07-231.26021.2602
2026-07-221.28781.2878
2026-07-211.31411.3141
2026-07-201.20551.2055
2026-07-171.23851.2385
2026-07-161.34681.3468
2026-07-151.39931.3993
2026-07-141.45161.4516
2026-07-131.43361.4336
2026-07-101.49421.4942
2026-07-091.56451.5645
2026-07-081.47461.4746
2026-07-071.48301.4830
2026-07-061.49001.4900
2026-07-031.49641.4964
2026-07-021.49671.4967
2026-07-011.57481.5748
2026-06-301.60411.6041
2026-06-291.54711.5471
2026-06-261.51481.5148
2026-06-251.54231.5423
2026-06-241.50221.5022
2026-06-231.45421.4542
2026-06-221.47191.4719
2026-06-181.45871.4587
2026-06-171.41061.4106
2026-06-161.36471.3647
2026-06-151.34451.3445
2026-06-121.27581.2758
2026-06-111.27911.2791
2026-06-101.27481.2748
2026-06-091.28241.2824
2026-06-081.23601.2360
2026-06-051.28091.2809
2026-06-041.31471.3147
2026-06-031.30321.3032
2026-06-021.27621.2762
2026-06-011.25811.2581
2026-05-291.30301.3030
2026-05-281.36091.3609
2026-05-271.34061.3406
2026-05-261.36821.3682
2026-05-251.38711.3871
2026-05-221.34401.3440
2026-05-211.31331.3133
2026-05-201.36881.3688
2026-05-191.33961.3396
2026-05-181.30701.3070
2026-05-151.29451.2945