融通通益混合
(008837.jj)(已退市)融通基金管理有限公司
成立日期2020-06-02退市时间2023-04-28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5.43%
备注 (0): 双击编辑备注
发表讨论

融通通益混合(008837) - 历史基金累计净值数据曲线

最后更新于:2023-04-28

数据选项
加载中......
融通通益混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-04-281.16581.1658
2023-04-271.16801.1680
2023-04-261.16851.1685
2023-04-251.16961.1696
2023-04-241.16991.1699
2023-04-211.17291.1729
2023-04-201.17761.1776
2023-04-191.17691.1769
2023-04-181.17891.1789
2023-04-171.17871.1787
2023-04-141.17581.1758
2023-04-131.17361.1736
2023-04-121.17531.1753
2023-04-111.17411.1741
2023-04-101.17381.1738
2023-04-071.17331.1733
2023-04-061.17271.1727
2023-04-041.17281.1728
2023-04-031.16991.1699
2023-03-311.16841.1684
2023-03-301.16871.1687
2023-03-291.16941.1694
2023-03-281.17061.1706
2023-03-271.17051.1705
2023-03-241.17211.1721
2023-03-231.17521.1752
2023-03-221.17271.1727
2023-03-211.17341.1734
2023-03-201.17251.1725
2023-03-171.17431.1743
2023-03-161.17371.1737
2023-03-151.17611.1761
2023-03-141.17591.1759
2023-03-131.17741.1774
2023-03-101.17391.1739
2023-03-091.17851.1785
2023-03-081.18411.1841
2023-03-071.18321.1832
2023-03-061.18871.1887
2023-03-031.18831.1883
2023-03-021.18971.1897
2023-03-011.19171.1917
2023-02-281.18971.1897
2023-02-271.18701.1870
2023-02-241.18771.1877
2023-02-231.18951.1895
2023-02-221.19011.1901
2023-02-211.18871.1887
2023-02-201.18811.1881
2023-02-171.18381.1838