华安新泰利灵活配置混合A
(003799.jj)(已退市)华安基金管理有限公司
成立日期2016-12-09退市时间2024-09-19基金类型混合型当前净值--基金经理 -- 持仓换手率44.10% (2024-06-30) 成立以来分红再投入年化收益率3.49%
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华安新泰利灵活配置混合A(003799) - 历史基金净值数据曲线

最后更新于:2024-09-19

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华安新泰利灵活配置混合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
2024-09-191.22961.3100
2024-09-181.22961.3100
2024-09-131.22961.3100
2024-09-121.22961.3100
2024-09-111.22961.3100
2024-09-101.22961.3100
2024-09-091.22961.3100
2024-09-061.22951.3099
2024-09-051.22951.3099
2024-09-041.22951.3099
2024-09-031.22951.3099
2024-09-021.22951.3099
2024-08-301.22951.3099
2024-08-291.22951.3099
2024-08-281.22951.3099
2024-08-271.22961.3100
2024-08-261.22991.3103
2024-08-231.23001.3104
2024-08-221.23021.3106
2024-08-211.23051.3109
2024-08-201.23071.3111
2024-08-191.23081.3112
2024-08-161.23091.3113
2024-08-151.23071.3111
2024-08-141.23071.3111
2024-08-131.23121.3116
2024-08-121.23111.3115
2024-08-091.23121.3116
2024-08-081.23141.3118
2024-08-071.23181.3122
2024-08-061.23151.3119
2024-08-051.23181.3122
2024-08-021.23251.3129
2024-08-011.23181.3122
2024-07-311.23171.3121
2024-07-301.22881.3092
2024-07-291.23081.3112
2024-07-261.23231.3127
2024-07-251.22981.3102
2024-07-241.22831.3087
2024-07-231.22781.3082
2024-07-221.23141.3118
2024-07-191.23001.3104
2024-07-181.22891.3093
2024-07-171.22801.3084
2024-07-161.23101.3114
2024-07-151.23081.3112
2024-07-121.23241.3128
2024-07-111.23211.3125
2024-07-101.22831.3087