汇添富民丰回报混合A
(004270.jj)(已退市)汇添富基金管理股份有限公司
成立日期2017-09-27退市时间2024-01-02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4.58%
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汇添富民丰回报混合A(004270) - 历史基金净值数据曲线

最后更新于:2024-01-02

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汇添富民丰回报混合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
2024-01-021.32401.3240
2023-12-291.32621.3262
2023-12-281.32631.3263
2023-12-271.32641.3264
2023-12-261.32631.3263
2023-12-251.32631.3263
2023-12-221.32641.3264
2023-12-211.32631.3263
2023-12-201.32731.3273
2023-12-191.32551.3255
2023-12-181.32881.3288
2023-12-151.32981.3298
2023-12-141.33591.3359
2023-12-131.33601.3360
2023-12-121.33861.3386
2023-12-111.33931.3393
2023-12-081.33551.3355
2023-12-071.33461.3346
2023-12-061.33301.3330
2023-12-051.33331.3333
2023-12-041.33861.3386
2023-12-011.33901.3390
2023-11-301.34021.3402
2023-11-291.33591.3359
2023-11-281.33811.3381
2023-11-271.33821.3382
2023-11-241.33691.3369
2023-11-231.33771.3377
2023-11-221.33801.3380
2023-11-211.34071.3407
2023-11-201.34141.3414
2023-11-171.34151.3415
2023-11-161.34241.3424
2023-11-151.34241.3424
2023-11-141.34101.3410
2023-11-131.34121.3412
2023-11-101.34151.3415
2023-11-091.34071.3407
2023-11-081.34021.3402
2023-11-071.34051.3405
2023-11-061.34101.3410
2023-11-031.34221.3422
2023-11-021.34241.3424
2023-11-011.34211.3421
2023-10-311.34231.3423
2023-10-301.34211.3421
2023-10-271.34191.3419
2023-10-261.34171.3417
2023-10-251.34151.3415
2023-10-241.34131.3413