博远博锐混合C
(008885.jj)(已退市)博远基金管理有限公司
成立日期2020-07-08退市时间2023-07-07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-13.86%
备注 (0): 双击编辑备注
发表讨论

博远博锐混合C(008885) - 历史基金净值数据曲线

最后更新于:2023-07-07

数据选项
加载中......
博远博锐混合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
2023-07-070.64020.6402
2023-07-060.64600.6460
2023-07-050.64860.6486
2023-07-040.65700.6570
2023-07-030.65130.6513
2023-06-300.65960.6596
2023-06-290.65480.6548
2023-06-280.65090.6509
2023-06-270.65310.6531
2023-06-260.65150.6515
2023-06-210.66380.6638
2023-06-200.67350.6735
2023-06-190.67420.6742
2023-06-160.67150.6715
2023-06-150.66790.6679
2023-06-140.66900.6690
2023-06-130.66810.6681
2023-06-120.66870.6687
2023-06-090.66970.6697
2023-06-080.66150.6615
2023-06-070.66780.6678
2023-06-060.66810.6681
2023-06-050.67890.6789
2023-06-020.67110.6711
2023-06-010.67420.6742
2023-05-310.67930.6793
2023-05-300.68090.6809
2023-05-290.68270.6827
2023-05-260.67750.6775
2023-05-250.66770.6677
2023-05-240.67000.6700
2023-05-230.67460.6746
2023-05-220.68140.6814
2023-05-190.68540.6854
2023-05-180.68280.6828
2023-05-170.67810.6781
2023-05-160.68050.6805
2023-05-150.68380.6838
2023-05-120.68000.6800
2023-05-110.68330.6833
2023-05-100.69180.6918
2023-05-090.69540.6954
2023-05-080.71020.7102
2023-05-050.70380.7038
2023-05-040.71630.7163
2023-04-280.71870.7187
2023-04-270.70380.7038
2023-04-260.70100.7010
2023-04-250.72100.7210
2023-04-240.73240.7324