景顺长城泰安回报混合A类
(003603.jj)(已退市)景顺长城基金管理有限公司
成立日期2016-12-09退市时间2023-11-23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5.95%
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景顺长城泰安回报混合A类(003603) - 历史基金累计净值数据曲线

最后更新于:2023-11-23

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景顺长城泰安回报混合A类历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-11-231.34101.4529
2023-11-221.34101.4529
2023-11-211.34261.4545
2023-11-201.34221.4541
2023-11-171.34241.4543
2023-11-161.34191.4538
2023-11-151.34501.4569
2023-11-141.34311.4550
2023-11-131.34291.4548
2023-11-101.34251.4544
2023-11-091.34441.4563
2023-11-081.34541.4573
2023-11-071.34551.4574
2023-11-061.34721.4591
2023-11-031.34381.4557
2023-11-021.33801.4499
2023-11-011.34121.4531
2023-10-311.33811.4500
2023-10-301.33891.4508
2023-10-271.33341.4453
2023-10-261.32661.4385
2023-10-251.32491.4368
2023-10-241.32241.4343
2023-10-231.31511.4270
2023-10-201.32111.4330
2023-10-191.32511.4370
2023-10-181.33431.4462
2023-10-171.33841.4503
2023-10-161.33701.4489
2023-10-131.34231.4542
2023-10-121.34731.4592
2023-10-111.34301.4549
2023-10-101.34381.4557
2023-10-091.34671.4586
2023-09-281.34561.4575
2023-09-271.34281.4547
2023-09-261.34421.4561
2023-09-251.34691.4588
2023-09-221.34961.4615
2023-09-211.34061.4525
2023-09-201.34571.4576
2023-09-191.34801.4599
2023-09-181.34991.4618
2023-09-151.34751.4594
2023-09-141.35001.4619
2023-09-131.35261.4645
2023-09-121.35591.4678
2023-09-111.35731.4692
2023-09-081.35521.4671
2023-09-071.35661.4685