恒生前海沪深港通龙头指数C
(008408.jj)(已退市)恒生前海基金管理有限公司
成立日期2020-05-22退市时间2023-10-18基金类型指数型基金当前净值--基金经理 -- 成立以来分红再投入年化收益率-2.03%
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恒生前海沪深港通龙头指数C(008408) - 历史基金净值数据曲线

最后更新于:2023-10-18

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恒生前海沪深港通龙头指数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
2023-10-180.93260.9326
2023-10-170.93370.9337
2023-10-160.92860.9286
2023-10-130.93920.9392
2023-10-120.95410.9541
2023-10-110.93960.9396
2023-10-100.93150.9315
2023-10-090.93160.9316
2023-09-280.93840.9384
2023-09-270.94700.9470
2023-09-260.94040.9404
2023-09-250.94730.9473
2023-09-220.95280.9528
2023-09-210.94330.9433
2023-09-200.94880.9488
2023-09-190.95110.9511
2023-09-180.94930.9493
2023-09-150.95150.9515
2023-09-140.95420.9542
2023-09-130.95170.9517
2023-09-120.95540.9554
2023-09-110.96090.9609
2023-09-080.95640.9564
2023-09-070.95800.9580
2023-09-060.97070.9707
2023-09-050.97070.9707
2023-09-040.98340.9834
2023-09-010.96040.9604
2023-08-310.95850.9585
2023-08-300.95980.9598
2023-08-290.95900.9590
2023-08-280.94430.9443
2023-08-250.93680.9368
2023-08-240.94020.9402
2023-08-230.92790.9279
2023-08-220.93130.9313
2023-08-210.92350.9235
2023-08-180.93970.9397
2023-08-170.95420.9542
2023-08-160.95170.9517
2023-08-150.95980.9598
2023-08-140.96430.9643
2023-08-110.97720.9772
2023-08-100.99310.9931
2023-08-090.99340.9934
2023-08-080.99110.9911
2023-08-070.99790.9979
2023-08-041.00151.0015
2023-08-030.99780.9978
2023-08-020.99690.9969