东财消费精选混合C
(010152.jj)(已退市)西藏东财基金管理有限公司
成立日期2020-09-23退市时间2023-09-25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-9.55%
备注 (0): 双击编辑备注
发表讨论

东财消费精选混合C(010152) - 历史基金累计净值数据曲线

最后更新于:2023-09-25

数据选项
加载中......
东财消费精选混合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
2023-09-250.73960.7396
2023-09-220.74250.7425
2023-09-210.73530.7353
2023-09-200.74180.7418
2023-09-190.74300.7430
2023-09-180.74540.7454
2023-09-150.74070.7407
2023-09-140.74280.7428
2023-09-130.74620.7462
2023-09-120.74970.7497
2023-09-110.74870.7487
2023-09-080.74360.7436
2023-09-070.74650.7465
2023-09-060.75280.7528
2023-09-050.75330.7533
2023-09-040.75680.7568
2023-09-010.74910.7491
2023-08-310.74250.7425
2023-08-300.74530.7453
2023-08-290.74490.7449
2023-08-280.73720.7372
2023-08-250.73440.7344
2023-08-240.73860.7386
2023-08-230.73190.7319
2023-08-220.73940.7394
2023-08-210.74060.7406
2023-08-180.74560.7456
2023-08-170.75460.7546
2023-08-160.74960.7496
2023-08-150.75140.7514
2023-08-140.75250.7525
2023-08-110.75700.7570
2023-08-100.76630.7663
2023-08-090.76730.7673
2023-08-080.76970.7697
2023-08-070.77130.7713
2023-08-040.77560.7756
2023-08-030.77800.7780
2023-08-020.77720.7772
2023-08-010.77870.7787
2023-07-310.78230.7823
2023-07-280.77860.7786
2023-07-270.77110.7711
2023-07-260.77170.7717
2023-07-250.77270.7727
2023-07-240.76060.7606
2023-07-210.76320.7632
2023-07-200.76050.7605
2023-07-190.76300.7630
2023-07-180.76180.7618