蜂巢卓睿混合C
(006858.jj)(已退市)蜂巢基金管理有限公司
成立日期2019-01-30退市时间2023-10-24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-4.66%
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蜂巢卓睿混合C(006858) - 历史基金净值数据曲线

最后更新于:2023-10-24

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蜂巢卓睿混合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
2023-10-240.79790.7979
2023-10-230.79560.7956
2023-10-200.79970.7997
2023-10-190.80190.8019
2023-10-180.80770.8077
2023-10-170.81380.8138
2023-10-160.81150.8115
2023-10-130.81120.8112
2023-10-120.81450.8145
2023-10-110.81170.8117
2023-10-100.81320.8132
2023-10-090.81860.8186
2023-09-280.82130.8213
2023-09-270.81820.8182
2023-09-260.81770.8177
2023-09-250.81950.8195
2023-09-220.82090.8209
2023-09-210.81740.8174
2023-09-200.82010.8201
2023-09-190.82350.8235
2023-09-180.82500.8250
2023-09-150.82420.8242
2023-09-140.82440.8244
2023-09-130.82460.8246
2023-09-120.82680.8268
2023-09-110.82700.8270
2023-09-080.82360.8236
2023-09-070.82430.8243
2023-09-060.83060.8306
2023-09-050.83070.8307
2023-09-040.83290.8329
2023-09-010.82680.8268
2023-08-310.82460.8246
2023-08-300.82860.8286
2023-08-290.83030.8303
2023-08-280.82360.8236
2023-08-250.81630.8163
2023-08-240.82050.8205
2023-08-230.82330.8233
2023-08-220.82930.8293
2023-08-210.82680.8268
2023-08-180.82930.8293
2023-08-170.83460.8346
2023-08-160.83200.8320
2023-08-150.83630.8363
2023-08-140.83600.8360
2023-08-110.83290.8329
2023-08-100.83970.8397
2023-08-090.83920.8392
2023-08-080.84240.8424