光大保德信精选18个月混合
(005444.jj)(已退市)光大保德信基金管理有限公司
成立日期2018-03-27退市时间2024-08-27基金类型混合型当前净值--基金经理 -- 持仓换手率169.75% (2024-06-30) 成立以来分红再投入年化收益率1.85%
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光大保德信精选18个月混合(005444) - 历史基金累计净值数据曲线

最后更新于:2024-08-27

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光大保德信精选18个月混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-08-271.12471.1247
2024-08-231.12151.1215
2024-08-161.12611.1261
2024-08-091.15501.1550
2024-08-021.16631.1663
2024-07-261.15441.1544
2024-07-191.16691.1669
2024-07-121.18211.1821
2024-07-051.17841.1784
2024-06-281.18421.1842
2024-06-211.17781.1778
2024-06-141.21561.2156
2024-06-071.20471.2047
2024-06-061.20111.2011
2024-06-051.21511.2151
2024-06-041.22231.2223
2024-06-031.22631.2263
2024-05-311.23711.2371
2024-05-241.22721.2272
2024-05-171.24661.2466
2024-05-101.24781.2478
2024-04-301.22751.2275
2024-04-261.21761.2176
2024-04-191.18051.1805
2024-04-121.21401.2140
2024-04-031.22511.2251
2024-03-291.21281.2128
2024-03-221.23531.2353
2024-03-151.22151.2215
2024-03-081.18621.1862
2024-03-011.20071.2007
2024-02-231.17801.1780
2024-02-081.12251.1225
2024-02-021.08641.0864
2024-01-261.18151.1815
2024-01-191.20211.2021
2024-01-121.24701.2470
2024-01-051.25591.2559
2023-12-291.29481.2948
2023-12-221.26911.2691
2023-12-151.29731.2973
2023-12-081.30641.3064
2023-12-011.31981.3198
2023-11-241.31331.3133
2023-11-171.33651.3365
2023-11-101.32131.3213
2023-11-031.29771.2977
2023-10-271.29171.2917
2023-10-201.26681.2668
2023-10-131.32341.3234