九泰久稳混合C
(002454.jj)(已退市)九泰基金管理有限公司
成立日期2016-04-22退市时间2023-03-10基金类型混合型当前净值--基金经理 -- 成立以来分红再投入年化收益率-4.14%
备注 (0): 双击编辑备注
发表讨论

九泰久稳混合C(002454) - 历史基金累计净值数据曲线

最后更新于:2023-03-10

数据选项
加载中......
九泰久稳混合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
2023-03-100.75300.7530
2023-03-030.75300.7530
2023-02-240.75300.7530
2023-02-170.75300.7530
2023-02-100.75300.7530
2023-02-030.75300.7530
2023-01-200.75300.7530
2023-01-130.75300.7530
2023-01-090.75300.7530
2023-01-060.75500.7550
2023-01-050.75500.7550
2023-01-040.73100.7310
2023-01-030.74300.7430
2022-12-300.73300.7330
2022-12-290.73200.7320
2022-12-280.73500.7350
2022-12-270.73900.7390
2022-12-260.72900.7290
2022-12-230.71300.7130
2022-12-220.71800.7180
2022-12-210.72600.7260
2022-12-200.73000.7300
2022-12-190.73900.7390
2022-12-160.75000.7500
2022-12-150.76000.7600
2022-12-140.75300.7530
2022-12-130.75600.7560
2022-12-120.76800.7680
2022-12-090.77000.7700
2022-12-080.76400.7640
2022-12-070.76700.7670
2022-12-060.77100.7710
2022-12-050.76300.7630
2022-12-020.76200.7620
2022-12-010.76700.7670
2022-11-300.75700.7570
2022-11-290.75900.7590
2022-11-280.74800.7480
2022-11-250.75500.7550
2022-11-240.76300.7630
2022-11-230.76100.7610
2022-11-220.76000.7600
2022-11-210.77100.7710
2022-11-180.76900.7690
2022-11-170.77900.7790
2022-11-160.77900.7790
2022-11-150.79000.7900
2022-11-140.76500.7650
2022-11-110.77200.7720
2022-11-100.75900.7590