融通研究优选混合
(006084.jj)(已退市)融通基金管理有限公司
成立日期2018-12-05退市时间2022-12-14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12.64%
备注 (0): 双击编辑备注
发表讨论

融通研究优选混合(006084) - 历史基金净值数据曲线

最后更新于:2022-12-14

数据选项
加载中......
融通研究优选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2022-12-141.55241.5924
2022-12-131.56581.6058
2022-12-121.57181.6118
2022-12-091.58021.6202
2022-12-081.57231.6123
2022-12-071.57921.6192
2022-12-061.59331.6333
2022-12-051.59631.6363
2022-12-021.58631.6263
2022-12-011.60191.6419
2022-11-301.58641.6264
2022-11-291.59771.6377
2022-11-281.58681.6268
2022-11-251.59721.6372
2022-11-241.61091.6509
2022-11-231.60991.6499
2022-11-221.60341.6434
2022-11-211.60551.6455
2022-11-181.60421.6442
2022-11-171.61301.6530
2022-11-161.61321.6532
2022-11-151.61641.6564
2022-11-141.60271.6427
2022-11-111.62591.6659
2022-11-101.61041.6504
2022-11-091.63361.6736
2022-11-081.65231.6923
2022-11-071.66361.7036
2022-11-041.67721.7172
2022-11-031.64101.6810
2022-11-021.63901.6790
2022-11-011.61971.6597
2022-10-311.60751.6475
2022-10-281.60611.6461
2022-10-271.63731.6773
2022-10-261.65411.6941
2022-10-251.66301.7030
2022-10-241.66401.7040
2022-10-211.67251.7125
2022-10-201.66231.7023
2022-10-191.66951.7095
2022-10-181.67021.7102
2022-10-171.66871.7087
2022-10-141.65371.6937
2022-10-131.62371.6637
2022-10-121.63621.6762
2022-10-111.60351.6435
2022-10-101.59661.6366
2022-09-301.63791.6779
2022-09-291.66881.7088