财通量化核心优选混合
(006157.jj)(已退市)财通基金管理有限公司
成立日期2018-09-17退市时间2023-08-01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8.49%
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财通量化核心优选混合(006157) - 历史基金净值数据曲线

最后更新于:2023-08-01

数据选项
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财通量化核心优选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-08-011.48791.4879
2023-07-311.48931.4893
2023-07-281.48461.4846
2023-07-271.47381.4738
2023-07-261.47931.4793
2023-07-251.48701.4870
2023-07-241.46631.4663
2023-07-211.46641.4664
2023-07-201.46991.4699
2023-07-191.48511.4851
2023-07-181.48821.4882
2023-07-171.49371.4937
2023-07-141.50401.5040
2023-07-131.50321.5032
2023-07-121.49091.4909
2023-07-111.50431.5043
2023-07-101.49911.4991
2023-07-071.49481.4948
2023-07-061.49921.4992
2023-07-051.50521.5052
2023-07-041.51401.5140
2023-07-031.51191.5119
2023-06-301.50431.5043
2023-06-291.49661.4966
2023-06-281.49001.4900
2023-06-271.48891.4889
2023-06-261.48041.4804
2023-06-211.49521.4952
2023-06-201.50751.5075
2023-06-191.50551.5055
2023-06-161.50021.5002
2023-06-151.48991.4899
2023-06-141.47401.4740
2023-06-131.47051.4705
2023-06-121.46921.4692
2023-06-091.46201.4620
2023-06-081.44881.4488
2023-06-071.45651.4565
2023-06-061.45951.4595
2023-06-051.48901.4890
2023-06-021.48811.4881
2023-06-011.47641.4764
2023-05-311.47551.4755
2023-05-301.48011.4801
2023-05-291.47631.4763
2023-05-261.48251.4825
2023-05-251.47831.4783
2023-05-241.47651.4765
2023-05-231.47811.4781
2023-05-221.48881.4888