博时鑫惠混合C
(004150.jj)(已退市)博时基金管理有限公司
成立日期2017-01-10退市时间2024-09-20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4.07%
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博时鑫惠混合C(004150) - 历史基金净值数据曲线

最后更新于:2024-09-20

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博时鑫惠混合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
2024-09-201.30501.3578
2024-09-191.30231.3551
2024-09-181.29921.3520
2024-09-131.29861.3514
2024-09-121.29891.3517
2024-09-111.29861.3514
2024-09-101.29721.3500
2024-09-091.29801.3508
2024-09-061.30151.3543
2024-09-051.30471.3575
2024-09-041.30291.3557
2024-09-031.30431.3571
2024-09-021.30151.3543
2024-08-301.30591.3587
2024-08-291.30251.3553
2024-08-281.29941.3522
2024-08-271.30001.3528
2024-08-261.30221.3550
2024-08-231.30021.3530
2024-08-221.29761.3504
2024-08-211.29821.3510
2024-08-201.29991.3527
2024-08-191.30351.3563
2024-08-161.30171.3545
2024-08-151.30251.3553
2024-08-141.30171.3545
2024-08-131.30541.3582
2024-08-121.30351.3563
2024-08-091.30651.3593
2024-08-081.30891.3617
2024-08-071.31011.3629
2024-08-061.31001.3628
2024-08-051.30981.3626
2024-08-021.31401.3668
2024-08-011.31741.3702
2024-07-311.31831.3711
2024-07-301.30861.3614
2024-07-291.30981.3626
2024-07-261.31151.3643
2024-07-251.30671.3595
2024-07-241.30801.3608
2024-07-231.31101.3638
2024-07-221.31681.3696
2024-07-191.31671.3695
2024-07-181.31551.3683
2024-07-171.31491.3677
2024-07-161.31581.3686
2024-07-151.31451.3673
2024-07-121.31641.3692
2024-07-111.31611.3689