创金合信研究精选股票C
(010002.jj)(已退市)创金合信基金管理有限公司
成立日期2020-11-04退市时间2023-06-19基金类型股票型当前净值--基金经理 -- 成立以来分红再投入年化收益率-13.07%
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创金合信研究精选股票C(010002) - 历史基金净值数据曲线

最后更新于:2023-06-19

数据选项
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创金合信研究精选股票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
2023-06-190.70200.7020
2023-05-230.70200.7020
2023-05-220.71220.7122
2023-05-190.70550.7055
2023-05-180.69960.6996
2023-05-170.70210.7021
2023-05-160.70260.7026
2023-05-150.70470.7047
2023-05-120.69670.6967
2023-05-110.70450.7045
2023-05-100.70650.7065
2023-05-090.70910.7091
2023-05-080.71560.7156
2023-05-050.71660.7166
2023-05-040.72170.7217
2023-04-280.72890.7289
2023-04-270.72790.7279
2023-04-260.72390.7239
2023-04-250.71850.7185
2023-04-240.71950.7195
2023-04-210.73540.7354
2023-04-200.74430.7443
2023-04-190.75280.7528
2023-04-180.75900.7590
2023-04-170.75650.7565
2023-04-140.75030.7503
2023-04-130.74760.7476
2023-04-120.75290.7529
2023-04-110.76150.7615
2023-04-100.76350.7635
2023-04-070.77150.7715
2023-04-060.76680.7668
2023-04-040.76550.7655
2023-04-030.76920.7692
2023-03-310.75800.7580
2023-03-300.75910.7591
2023-03-290.75020.7502
2023-03-280.74500.7450
2023-03-270.74620.7462
2023-03-240.74420.7442
2023-03-230.74390.7439
2023-03-220.74210.7421
2023-03-210.74500.7450
2023-03-200.73290.7329
2023-03-170.73570.7357
2023-03-160.74440.7444
2023-03-150.76000.7600
2023-03-140.76060.7606
2023-03-130.76920.7692
2023-03-100.76700.7670