东财信息产业精选混合A
(010307.jj)(已退市)西藏东财基金管理有限公司
成立日期2020-10-30退市时间2023-10-30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-8.46%
备注 (0): 双击编辑备注
发表讨论

东财信息产业精选混合A(010307) - 历史基金累计净值数据曲线

最后更新于:2023-10-30

数据选项
加载中......
东财信息产业精选混合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
2023-10-300.76710.7671
2023-10-270.75670.7567
2023-10-260.75240.7524
2023-10-250.75110.7511
2023-10-240.74830.7483
2023-10-230.74610.7461
2023-10-200.75490.7549
2023-10-190.76650.7665
2023-10-180.77140.7714
2023-10-170.78030.7803
2023-10-160.77870.7787
2023-10-130.78630.7863
2023-10-120.78730.7873
2023-10-110.78680.7868
2023-10-100.78070.7807
2023-10-090.78030.7803
2023-09-280.77730.7773
2023-09-270.77300.7730
2023-09-260.77380.7738
2023-09-250.77420.7742
2023-09-220.77970.7797
2023-09-210.76690.7669
2023-09-200.76810.7681
2023-09-190.77140.7714
2023-09-180.77590.7759
2023-09-150.77770.7777
2023-09-140.77980.7798
2023-09-130.78400.7840
2023-09-120.79350.7935
2023-09-110.79540.7954
2023-09-080.78900.7890
2023-09-070.78850.7885
2023-09-060.80040.8004
2023-09-050.79970.7997
2023-09-040.80480.8048
2023-09-010.80040.8004
2023-08-310.80600.8060
2023-08-300.80490.8049
2023-08-290.79310.7931
2023-08-280.77400.7740
2023-08-250.76990.7699
2023-08-240.78350.7835
2023-08-230.77850.7785
2023-08-220.79270.7927
2023-08-210.78090.7809
2023-08-180.78450.7845
2023-08-170.79610.7961
2023-08-160.79380.7938
2023-08-150.80490.8049
2023-08-140.81170.8117