永赢竞争力精选混合
(009140.jj)(已退市)永赢基金管理有限公司
成立日期2020-04-22退市时间2023-04-21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10.83%
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永赢竞争力精选混合(009140) - 历史基金净值数据曲线

最后更新于:2023-04-21

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永赢竞争力精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-04-211.36121.3612
2023-04-201.40141.4014
2023-04-191.40871.4087
2023-04-181.41071.4107
2023-04-171.41421.4142
2023-04-141.42411.4241
2023-04-131.40761.4076
2023-04-121.39731.3973
2023-04-111.39171.3917
2023-04-101.37691.3769
2023-04-071.38481.3848
2023-04-061.37041.3704
2023-04-041.35741.3574
2023-04-031.36631.3663
2023-03-311.34901.3490
2023-03-301.35051.3505
2023-03-291.34911.3491
2023-03-281.33471.3347
2023-03-271.34661.3466
2023-03-241.35521.3552
2023-03-231.35941.3594
2023-03-221.34721.3472
2023-03-211.35181.3518
2023-03-201.32691.3269
2023-03-171.35341.3534
2023-03-161.34741.3474
2023-03-151.36141.3614
2023-03-141.34581.3458
2023-03-131.36011.3601
2023-03-101.36331.3633
2023-03-091.38241.3824
2023-03-081.38981.3898
2023-03-071.40691.4069
2023-03-061.42691.4269
2023-03-031.43201.4320
2023-03-021.43111.4311
2023-03-011.44371.4437
2023-02-281.42201.4220
2023-02-271.42321.4232
2023-02-241.42451.4245
2023-02-231.44061.4406
2023-02-221.44191.4419
2023-02-211.44041.4404
2023-02-201.43971.4397
2023-02-171.41531.4153
2023-02-161.43851.4385
2023-02-151.45091.4509
2023-02-141.46231.4623
2023-02-131.47071.4707
2023-02-101.46251.4625