银河嘉谊混合A
(005459.jj)(已退市)银河基金管理有限公司
成立日期2018-02-06退市时间2024-05-15基金类型混合型当前净值--基金经理 -- 持仓换手率36.53倍 (2023-12-31) 成立以来分红再投入年化收益率1.81%
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银河嘉谊混合A(005459) - 历史基金累计净值数据曲线

最后更新于:2024-05-15

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银河嘉谊混合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
2024-05-151.05251.1345
2024-05-141.05261.1346
2024-05-131.05271.1347
2024-05-101.05291.1349
2024-05-091.05291.1349
2024-05-081.05301.1350
2024-05-071.05301.1350
2024-05-061.05311.1351
2024-04-301.05341.1354
2024-04-291.05351.1355
2024-04-261.05371.1357
2024-04-251.05371.1357
2024-04-241.05371.1357
2024-04-231.05341.1354
2024-04-221.05351.1355
2024-04-191.05351.1355
2024-04-181.05351.1355
2024-04-171.05351.1355
2024-04-161.05351.1355
2024-04-151.05351.1355
2024-04-121.05361.1356
2024-04-111.05361.1356
2024-04-101.05361.1356
2024-04-091.05361.1356
2024-04-081.05361.1356
2024-04-031.05371.1357
2024-04-021.05361.1356
2024-04-011.05351.1355
2024-03-291.05351.1355
2024-03-281.05351.1355
2024-03-271.05321.1352
2024-03-261.05311.1351
2024-03-251.05321.1352
2024-03-221.05321.1352
2024-03-211.05321.1352
2024-03-201.05321.1352
2024-03-191.05951.1415
2024-03-181.07751.1595
2024-03-151.06631.1483
2024-03-141.04081.1228
2024-03-131.04121.1232
2024-03-121.03731.1193
2024-03-111.02721.1092
2024-03-081.01911.1011
2024-03-071.00701.0890
2024-03-061.03021.1122
2024-03-051.00531.0873
2024-03-041.02671.1087
2024-03-011.01791.0999
2024-02-291.00451.0865