东财信息产业精选混合C
(010308.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-9.19%
备注 (0): 双击编辑备注
发表讨论

东财信息产业精选混合C(010308) - 历史基金净值数据曲线

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
2023-10-300.74880.7488
2023-10-270.73880.7388
2023-10-260.73460.7346
2023-10-250.73330.7333
2023-10-240.73060.7306
2023-10-230.72850.7285
2023-10-200.73710.7371
2023-10-190.74850.7485
2023-10-180.75320.7532
2023-10-170.76200.7620
2023-10-160.76040.7604
2023-10-130.76790.7679
2023-10-120.76890.7689
2023-10-110.76840.7684
2023-10-100.76250.7625
2023-10-090.76210.7621
2023-09-280.75940.7594
2023-09-270.75520.7552
2023-09-260.75590.7559
2023-09-250.75640.7564
2023-09-220.76180.7618
2023-09-210.74930.7493
2023-09-200.75050.7505
2023-09-190.75370.7537
2023-09-180.75820.7582
2023-09-150.75990.7599
2023-09-140.76210.7621
2023-09-130.76610.7661
2023-09-120.77550.7755
2023-09-110.77730.7773
2023-09-080.77120.7712
2023-09-070.77070.7707
2023-09-060.78240.7824
2023-09-050.78170.7817
2023-09-040.78660.7866
2023-09-010.78240.7824
2023-08-310.78790.7879
2023-08-300.78680.7868
2023-08-290.77530.7753
2023-08-280.75660.7566
2023-08-250.75270.7527
2023-08-240.76600.7660
2023-08-230.76120.7612
2023-08-220.77500.7750
2023-08-210.76350.7635
2023-08-180.76710.7671
2023-08-170.77850.7785
2023-08-160.77620.7762
2023-08-150.78710.7871
2023-08-140.79380.7938