国泰聚利价值定开混合(005746)关注
1.2393-0.1%更新于 2025-06-13
国泰聚利价值定开混合净值统计
2025年2.24%2.52%-1.9%
2024年4.05%8.01%-2.89%
2023年0.38%1.94%-1.76%
2022年-2%1.96%-3.97%
2021年5.03%7.36%-2.7%
该基金暂时不参与净值数据统计
其他基金
010177中加新兴消费混合C混合2177/137592177/13759-0.74%3.13%5.34% 004966泓德致远混合C混合5856/137595856/13759-0.4%---2.03% 017933国泰君安高端装备混合发起A混合13197/1375913197/13759-0.62%-2.5%-10.44% 016774中信建投红利智选混合A混合5502/137595502/13759-0.03%0.19%1.39% 006038大成景恒混合C混合301/13759301/13759-1.47%2.94%4.28% 016393易米中证科创创业50指数增强发起C指数4228/137594228/13759-1.39%-0.37%-8.71% 009852银华品质消费股票股票640/13759640/13759-0.76%3.81%8.53% 163115申万菱信中证军工指数(LOF)A指数2631/137592631/13759-0.76%1.54%-3.36% 006693金信消费升级股票C股票5995/137595995/13759-1.92%0.46%3.34% 012008易方达稳健回报混合A混合8226/137598226/13759-1.01%-0.85%-1.97%