汇安丰华混合
(003854.jj)(已退市)汇安基金管理有限责任公司
成立日期2017-01-10退市时间2023-04-07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11.58%
备注 (0): 双击编辑备注
发表讨论

汇安丰华混合(003854) - 历史基金净值数据曲线

最后更新于:2023-04-07

数据选项
加载中......
汇安丰华混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-04-071.03681.8352
2023-03-311.03671.8351
2023-03-241.03671.8351
2023-03-171.03661.8350
2023-03-101.03671.8351
2023-03-031.03671.8351
2023-03-011.03671.8351
2023-02-281.03681.8352
2023-02-271.03731.8357
2023-02-241.03681.8352
2023-02-231.03701.8354
2023-02-221.02701.8254
2023-02-211.03081.8292
2023-02-201.02661.8250
2023-02-171.01931.8177
2023-02-161.02331.8217
2023-02-151.03801.8364
2023-02-141.04011.8385
2023-02-131.04001.8384
2023-02-101.04051.8389
2023-02-091.05021.8486
2023-02-081.04301.8414
2023-02-071.04461.8430
2023-02-061.04471.8431
2023-02-031.04641.8448
2023-02-021.05391.8523
2023-02-011.05461.8530
2023-01-311.04531.8437
2023-01-301.04001.8384
2023-01-201.03961.8380
2023-01-191.03381.8322
2023-01-181.03591.8343
2023-01-171.03681.8352
2023-01-161.03431.8327
2023-01-131.03541.8338
2023-01-121.03951.8379
2023-01-111.03911.8375
2023-01-101.04421.8426
2023-01-091.04241.8408
2023-01-061.03921.8376
2023-01-051.02341.8218
2023-01-041.01641.8148
2023-01-031.02481.8232
2022-12-301.01211.8105
2022-12-291.01291.8113
2022-12-281.01471.8131
2022-12-271.01551.8139
2022-12-261.00281.8012