中银证券祥瑞混合
(004917.jj)(已退市)中银国际证券股份有限公司
成立日期2018-02-01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-0.89%
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中银证券祥瑞混合(004917) - 历史基金净值数据曲线

最后更新于:2023-04-07

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中银证券祥瑞混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-04-070.97320.9732
2023-03-310.97320.9732
2023-03-240.97310.9731
2023-03-170.97300.9730
2023-03-100.97300.9730
2023-03-030.97290.9729
2023-02-240.97280.9728
2023-02-170.97220.9722
2023-02-100.96740.9674
2023-02-080.95590.9559
2023-02-070.95730.9573
2023-02-060.96000.9600
2023-02-030.96560.9656
2023-02-020.97100.9710
2023-02-010.96610.9661
2023-01-310.96100.9610
2023-01-300.96560.9656
2023-01-200.96020.9602
2023-01-190.95910.9591
2023-01-180.95420.9542
2023-01-170.95640.9564
2023-01-160.95210.9521
2023-01-130.93780.9378
2023-01-120.94460.9446
2023-01-110.94480.9448
2023-01-100.95890.9589
2023-01-090.95280.9528
2023-01-060.94300.9430
2023-01-050.93760.9376
2023-01-040.92730.9273
2023-01-030.93420.9342
2022-12-300.92260.9226
2022-12-290.92630.9263
2022-12-280.91920.9192
2022-12-270.92350.9235
2022-12-260.90750.9075
2022-12-230.88100.8810