鑫元产业机遇混合C
(024791.jj )
基金经理陈立基金类型混合型成立日期2025-09-26总资产规模1,076.59万 (2026-06-30) 基金净值0.6781 (2026-09-01) 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-32.08% (9393 / 9406)
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鑫元产业机遇混合C(024791) - 历史基金净值数据曲线

最后更新于:2026-09-01

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鑫元产业机遇混合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
2026-09-010.67810.6781
2026-08-310.68840.6884
2026-08-280.67890.6789
2026-08-270.68290.6829
2026-08-260.67270.6727
2026-08-250.66990.6699
2026-08-240.66660.6666
2026-08-210.69480.6948
2026-08-200.69390.6939
2026-08-190.68410.6841
2026-08-180.72660.7266
2026-08-170.73830.7383
2026-08-140.71910.7191
2026-08-130.71370.7137
2026-08-120.71520.7152
2026-08-110.70760.7076
2026-08-100.70410.7041
2026-08-070.70810.7081
2026-08-060.67200.6720
2026-08-050.67250.6725
2026-08-040.66020.6602
2026-08-030.62230.6223
2026-07-310.63980.6398
2026-07-300.62450.6245
2026-07-290.65840.6584
2026-07-280.66100.6610
2026-07-270.71520.7152
2026-07-240.69950.6995
2026-07-230.71320.7132
2026-07-220.72420.7242
2026-07-210.73980.7398
2026-07-200.69800.6980
2026-07-170.70970.7097
2026-07-160.77160.7716
2026-07-150.78820.7882
2026-07-140.78990.7899
2026-07-130.80270.8027
2026-07-100.86430.8643
2026-07-090.84230.8423
2026-07-080.82040.8204
2026-07-070.84420.8442
2026-07-060.87290.8729
2026-07-030.91450.9145
2026-07-020.87350.8735
2026-07-010.91190.9119
2026-06-300.90590.9059
2026-06-290.86500.8650
2026-06-260.87550.8755
2026-06-250.87580.8758
2026-06-240.88130.8813