创金合信量化核心混合C
(004360.jj)(已退市)创金合信基金管理有限公司
成立日期2017-03-27退市时间2024-06-26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2.77%
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创金合信量化核心混合C(004360) - 历史基金净值数据曲线

最后更新于:2024-06-26

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创金合信量化核心混合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
2024-06-261.16031.2103
2024-06-251.15461.2046
2024-06-241.15611.2061
2024-06-211.16461.2146
2024-06-201.16731.2173
2024-06-191.17721.2272
2024-06-181.19041.2404
2024-06-171.19351.2435
2024-06-141.19811.2481
2024-06-131.19931.2493
2024-06-121.20931.2593
2024-06-111.20681.2568
2024-06-071.20681.2568
2024-06-061.21411.2641
2024-06-051.21491.2649
2024-06-041.22421.2742
2024-06-031.21351.2635
2024-05-311.21731.2673
2024-05-301.22121.2712
2024-05-291.22131.2713
2024-05-281.22191.2719
2024-05-271.22431.2743
2024-05-241.22091.2709
2024-05-231.22421.2742
2024-05-221.22851.2785
2024-05-211.23611.2861
2024-05-201.23941.2894
2024-05-171.23921.2892
2024-05-161.23381.2838
2024-05-151.23831.2883
2024-05-141.24701.2970
2024-05-131.24521.2952
2024-05-101.24831.2983
2024-05-091.25181.3018
2024-05-081.23771.2877
2024-05-071.24671.2967
2024-05-061.24711.2971
2024-04-301.21961.2696
2024-04-291.21971.2697
2024-04-261.20261.2526
2024-04-251.18281.2328
2024-04-241.18701.2370
2024-04-231.18481.2348
2024-04-221.19151.2415
2024-04-191.19101.2410
2024-04-181.19761.2476
2024-04-171.19631.2463
2024-04-161.18641.2364
2024-04-151.19471.2447
2024-04-121.17461.2246