前海联合研究优选混合C
(005672.jj)(已退市)新疆前海联合基金管理有限公司
成立日期2018-07-25退市时间2024-04-30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10.15%
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前海联合研究优选混合C(005672) - 历史基金累计净值数据曲线

最后更新于:2024-04-30

数据选项
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前海联合研究优选混合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
2024-04-301.19172.0717
2024-04-291.19192.0719
2024-04-261.19112.0711
2024-04-251.18942.0694
2024-04-241.19052.0705
2024-04-231.18852.0685
2024-04-221.19212.0721
2024-04-191.19402.0740
2024-04-181.20062.0806
2024-04-171.20122.0812
2024-04-161.19572.0757
2024-04-151.19972.0797
2024-04-121.19632.0763
2024-04-111.19632.0763
2024-04-101.19612.0761
2024-04-091.20512.0851
2024-04-081.19862.0786
2024-04-031.21472.0947
2024-04-021.23962.1196
2024-04-011.27092.1509
2024-03-291.25902.1390
2024-03-281.26722.1472
2024-03-271.21932.0993
2024-03-261.26122.1412
2024-03-251.27592.1559
2024-03-221.30982.1898
2024-03-211.31042.1904
2024-03-201.31462.1946
2024-03-191.32332.2033
2024-03-181.36042.2404
2024-03-151.35672.2367
2024-03-141.32432.2043
2024-03-131.32502.2050
2024-03-121.31802.1980
2024-03-111.30282.1828
2024-03-081.28742.1674
2024-03-071.27312.1531
2024-03-061.31202.1920
2024-03-051.29382.1738
2024-03-041.31352.1935
2024-03-011.29252.1725
2024-02-291.27292.1529
2024-02-281.22232.1023
2024-02-271.29052.1705
2024-02-261.24572.1257
2024-02-231.21922.0992
2024-02-221.17312.0531
2024-02-211.15962.0396
2024-02-201.15732.0373
2024-02-191.13252.0125