惠升惠新混合C
(008062.jj)(已退市)惠升基金管理有限责任公司
成立日期2020-02-19退市时间2023-09-21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-8.62%
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惠升惠新混合C(008062) - 历史基金累计净值数据曲线

最后更新于:2023-09-21

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惠升惠新混合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
2023-09-210.72370.7237
2023-09-200.72370.7237
2023-09-190.72690.7269
2023-09-180.72660.7266
2023-09-150.72490.7249
2023-09-140.72870.7287
2023-09-130.72520.7252
2023-09-120.72540.7254
2023-09-110.72690.7269
2023-09-080.72360.7236
2023-09-070.72680.7268
2023-09-060.73230.7323
2023-09-050.73280.7328
2023-09-040.74000.7400
2023-09-010.73060.7306
2023-08-310.72240.7224
2023-08-300.72890.7289
2023-08-290.73140.7314
2023-08-280.73120.7312
2023-08-250.72180.7218
2023-08-240.72060.7206
2023-08-230.71910.7191
2023-08-220.72530.7253
2023-08-210.72070.7207
2023-08-180.72910.7291
2023-08-170.73400.7340
2023-08-160.73310.7331
2023-08-150.73430.7343
2023-08-140.73260.7326
2023-08-110.73600.7360
2023-08-100.74910.7491
2023-08-090.74660.7466
2023-08-080.74790.7479
2023-08-070.74940.7494
2023-08-040.75640.7564
2023-08-030.75580.7558
2023-08-020.74930.7493
2023-08-010.75390.7539
2023-07-310.75750.7575
2023-07-280.75240.7524
2023-07-270.73500.7350
2023-07-260.73580.7358
2023-07-250.73530.7353
2023-07-240.71400.7140
2023-07-210.71650.7165
2023-07-200.71570.7157
2023-07-190.71850.7185
2023-07-180.71600.7160
2023-07-170.71670.7167
2023-07-140.72010.7201