华泰柏瑞景利混合A
(010060.jj)(已退市)华泰柏瑞基金管理有限公司
成立日期2020-09-14退市时间2023-09-05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1.80%
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华泰柏瑞景利混合A(010060) - 历史基金累计净值数据曲线

最后更新于:2023-09-05

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华泰柏瑞景利混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-09-050.98091.0570
2023-09-040.98091.0570
2023-09-010.98091.0570
2023-08-310.98091.0570
2023-08-300.98091.0570
2023-08-290.98091.0570
2023-08-280.98091.0570
2023-08-250.98101.0571
2023-08-240.98101.0571
2023-08-230.98101.0571
2023-08-220.98101.0571
2023-08-210.98101.0571
2023-08-180.98101.0571
2023-08-170.98101.0571
2023-08-160.98101.0571
2023-08-150.98101.0571
2023-08-140.98101.0571
2023-08-110.98101.0571
2023-08-100.98101.0571
2023-08-090.98111.0572
2023-08-080.98111.0572
2023-08-070.98111.0572
2023-08-040.98111.0572
2023-08-030.98111.0572
2023-08-020.98111.0572
2023-08-010.98111.0572
2023-07-310.98111.0572
2023-07-280.98111.0572
2023-07-270.98111.0572
2023-07-260.98111.0572
2023-07-250.98121.0573
2023-07-240.98121.0573
2023-07-210.98121.0573
2023-07-200.98121.0573
2023-07-190.98121.0573
2023-07-180.98121.0573
2023-07-170.98121.0573
2023-07-140.98121.0573
2023-07-130.98121.0573
2023-07-120.98121.0573
2023-07-110.98121.0573
2023-07-100.98121.0573
2023-07-070.98121.0573
2023-07-060.98131.0574
2023-07-050.98131.0574
2023-07-040.98161.0577
2023-07-030.98191.0580
2023-06-300.98201.0581
2023-06-290.98211.0582
2023-06-280.98211.0582