民生加银半年理财A
(000799.jj)(已退市)民生加银基金管理有限公司
成立日期2018-08-13退市时间2024-07-01基金类型债券型当前净值--基金经理李文君成立以来分红再投入年化收益率1.32%
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民生加银半年理财A(000799) - 历史基金净值数据曲线

最后更新于:2024-07-01

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民生加银半年理财A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-011.00321.0778
2024-06-281.00311.0777
2024-06-271.00301.0776
2024-06-261.00301.0776
2024-06-251.00291.0775
2024-06-241.00221.0768
2024-06-211.00211.0767
2024-06-201.00191.0765
2024-06-191.00181.0764
2024-06-181.00181.0764
2024-06-171.00171.0763
2024-06-141.01261.0762
2024-06-131.01251.0761
2024-06-121.01241.0760
2024-06-111.01231.0759
2024-06-071.01231.0759
2024-06-061.01221.0758
2024-06-051.01221.0758
2024-06-041.01221.0758
2024-06-031.01221.0758
2024-05-311.01201.0756
2024-05-301.01191.0755
2024-05-291.01191.0755
2024-05-281.01181.0754
2024-05-271.01181.0754
2024-05-241.01161.0752
2024-05-231.01161.0752
2024-05-221.01151.0751
2024-05-211.01141.0750
2024-05-201.01141.0750
2024-05-171.01121.0748
2024-05-161.01121.0748
2024-05-151.01111.0747
2024-05-141.01101.0746
2024-05-131.01101.0746
2024-05-101.01081.0744
2024-05-091.01071.0743
2024-05-081.01071.0743
2024-05-071.01061.0742
2024-05-061.01061.0742
2024-04-301.01021.0738
2024-04-291.01011.0737
2024-04-261.01001.0736
2024-04-251.00991.0735
2024-04-241.00981.0734
2024-04-231.00981.0734
2024-04-221.00971.0733
2024-04-191.00951.0731
2024-04-181.00951.0731
2024-04-171.00941.0730