中邮核心主题混合C
(024120.jj )
基金经理陈梁基金类型混合型成立日期2025-05-09总资产规模416.53万 (2026-06-30) 基金净值1.7570 (2026-09-02) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率-5.17% (8445 / 9411)
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中邮核心主题混合C(024120) - 历史基金累计净值数据曲线

最后更新于:2026-09-02

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中邮核心主题混合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
2026-09-021.75701.7570
2026-09-011.77501.7750
2026-08-311.80001.8000
2026-08-281.80401.8040
2026-08-271.84801.8480
2026-08-261.80701.8070
2026-08-251.81301.8130
2026-08-241.79301.7930
2026-08-211.88301.8830
2026-08-201.90201.9020
2026-08-191.87201.8720
2026-08-182.02102.0210
2026-08-172.02102.0210
2026-08-141.94901.9490
2026-08-131.92201.9220
2026-08-121.91001.9100
2026-08-111.84601.8460
2026-08-101.87001.8700
2026-08-071.87201.8720
2026-08-061.82501.8250
2026-08-051.77801.7780
2026-08-041.70901.7090
2026-08-031.54701.5470
2026-07-311.59401.5940
2026-07-301.52301.5230
2026-07-291.66601.6660
2026-07-281.66201.6620
2026-07-271.85901.8590
2026-07-241.78901.7890
2026-07-231.83101.8310
2026-07-221.86301.8630
2026-07-211.93901.9390
2026-07-201.75401.7540
2026-07-171.86601.8660
2026-07-162.05502.0550
2026-07-152.16102.1610
2026-07-142.24902.2490
2026-07-132.10702.1070
2026-07-102.26102.2610
2026-07-092.39402.3940
2026-07-082.26102.2610
2026-07-072.32602.3260
2026-07-062.36402.3640
2026-07-032.48502.4850
2026-07-022.49202.4920
2026-07-012.70202.7020
2026-06-302.76802.7680
2026-06-292.73802.7380
2026-06-262.79002.7900
2026-06-252.83602.8360