创金合信上证超大盘量化C
(008769.jj)(已退市)创金合信基金管理有限公司
成立日期2019-12-27退市时间2022-12-30基金类型股票型当前净值--持有人户数--基金经理 -- 成立以来分红再投入年化收益率-2.52%
备注 (0): 双击编辑备注
发表讨论

创金合信上证超大盘量化C(008769) - 历史基金净值数据曲线

最后更新于:2022-12-30

数据选项
加载中......
创金合信上证超大盘量化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
2022-12-300.92770.9277
2022-12-270.92770.9277
2022-12-260.86510.8651
2022-12-230.86710.8671
2022-12-220.86770.8677
2022-12-210.86580.8658
2022-12-200.86430.8643
2022-12-190.87760.8776
2022-12-160.89130.8913
2022-12-150.88690.8869
2022-12-140.89380.8938
2022-12-130.89000.8900
2022-12-120.88820.8882
2022-12-090.90010.9001
2022-12-080.89050.8905
2022-12-070.89030.8903
2022-12-060.89550.8955
2022-12-050.89530.8953
2022-12-020.87520.8752
2022-12-010.87930.8793
2022-11-300.87040.8704
2022-11-290.87130.8713
2022-11-280.84200.8420
2022-11-250.85530.8553
2022-11-240.84570.8457
2022-11-230.84900.8490
2022-11-220.84960.8496
2022-11-210.84490.8449
2022-11-180.85210.8521
2022-11-170.85800.8580
2022-11-160.86150.8615
2022-11-150.86500.8650
2022-11-140.84830.8483
2022-11-110.84260.8426
2022-11-100.81920.8192
2022-11-090.82050.8205
2022-11-080.82610.8261
2022-11-070.83150.8315
2022-11-040.82630.8263
2022-11-030.80410.8041
2022-11-020.81120.8112
2022-11-010.80220.8022
2022-10-310.77580.7758
2022-10-280.78480.7848
2022-10-270.80420.8042
2022-10-260.80740.8074
2022-10-250.80460.8046
2022-10-240.80230.8023
2022-10-210.82900.8290
2022-10-200.83220.8322