华泰柏瑞量化明选C
(006943.jj)(已退市)华泰柏瑞基金管理有限公司
成立日期2019-03-25退市时间2023-08-18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7.72%
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华泰柏瑞量化明选C(006943) - 历史基金净值数据曲线

最后更新于:2023-08-18

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华泰柏瑞量化明选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
2023-08-181.38711.3871
2023-08-171.39731.3973
2023-08-161.39331.3933
2023-08-151.39941.3994
2023-08-141.40221.4022
2023-08-111.40581.4058
2023-08-101.42461.4246
2023-08-091.42111.4211
2023-08-081.42541.4254
2023-08-071.42841.4284
2023-08-041.43601.4360
2023-08-031.43191.4319
2023-08-021.42441.4244
2023-08-011.42971.4297
2023-07-311.43451.4345
2023-07-281.43001.4300
2023-07-271.41021.4102
2023-07-261.41361.4136
2023-07-251.41571.4157
2023-07-241.38071.3807
2023-07-211.38301.3830
2023-07-201.38401.3840
2023-07-191.38701.3870
2023-07-181.38741.3874
2023-07-171.38851.3885
2023-07-141.39091.3909
2023-07-131.39141.3914
2023-07-121.37341.3734
2023-07-111.38081.3808
2023-07-101.37241.3724
2023-07-071.36791.3679
2023-07-061.37141.3714
2023-07-051.37771.3777
2023-07-041.38941.3894
2023-07-031.38971.3897
2023-06-301.37331.3733
2023-06-291.36051.3605
2023-06-281.35991.3599
2023-06-271.35731.3573
2023-06-261.34001.3400
2023-06-211.35841.3584
2023-06-201.37581.3758
2023-06-191.38111.3811
2023-06-161.39071.3907
2023-06-151.38191.3819
2023-06-141.36861.3686
2023-06-131.36711.3671
2023-06-121.36641.3664
2023-06-091.36191.3619
2023-06-081.35411.3541