惠升惠兴混合C
(008534.jj)(已退市)惠升基金管理有限责任公司
成立日期2020-06-01退市时间2023-03-08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3.29%
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惠升惠兴混合C(008534) - 历史基金净值数据曲线

最后更新于:2023-03-08

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惠升惠兴混合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
2023-03-081.09491.0949
2023-03-071.09351.0935
2023-03-061.09221.0922
2023-03-031.08791.0879
2023-03-021.08251.0825
2023-03-011.08711.0871
2023-02-281.09021.0902
2023-02-271.09151.0915
2023-02-241.09181.0918
2023-02-231.09911.0991
2023-02-221.09801.0980
2023-02-211.10111.1011
2023-02-201.09991.0999
2023-02-171.09701.0970
2023-02-161.10551.1055
2023-02-151.11371.1137
2023-02-141.11511.1151
2023-02-131.11321.1132
2023-02-101.10641.1064
2023-02-091.11371.1137
2023-02-081.11071.1107
2023-02-071.11561.1156
2023-02-061.11511.1151
2023-02-031.11681.1168
2023-02-021.12651.1265
2023-02-011.12771.1277
2023-01-311.12321.1232
2023-01-301.12241.1224
2023-01-201.11781.1178
2023-01-191.11881.1188
2023-01-181.12201.1220
2023-01-171.12601.1260
2023-01-161.12701.1270
2023-01-131.12591.1259
2023-01-121.12281.1228
2023-01-111.12211.1221
2023-01-101.12741.1274
2023-01-091.12671.1267
2023-01-061.12001.1200
2023-01-051.11571.1157
2023-01-041.10281.1028
2023-01-031.10811.1081
2022-12-301.09581.0958
2022-12-291.09161.0916
2022-12-281.09541.0954
2022-12-271.10211.1021
2022-12-261.09111.0911