天弘消费C
(010332.jj)(已退市)天弘基金管理有限公司
成立日期2021-03-30退市时间2024-03-29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-14.76%
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天弘消费C(010332) - 历史基金净值数据曲线

最后更新于:2024-03-29

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天弘消费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
2024-03-290.61960.6196
2024-03-280.61340.6134
2024-03-270.60890.6089
2024-03-260.61280.6128
2024-03-250.60620.6062
2024-03-220.61100.6110
2024-03-210.61800.6180
2024-03-200.61840.6184
2024-03-190.61870.6187
2024-03-180.61890.6189
2024-03-150.61690.6169
2024-03-140.61280.6128
2024-03-130.61220.6122
2024-03-120.61750.6175
2024-03-110.61100.6110
2024-03-080.60250.6025
2024-03-070.60280.6028
2024-03-060.60240.6024
2024-03-050.60540.6054
2024-03-040.60140.6014
2024-03-010.59990.5999
2024-02-290.59950.5995
2024-02-280.59080.5908
2024-02-270.59930.5993
2024-02-260.59660.5966
2024-02-230.59530.5953
2024-02-220.59540.5954
2024-02-210.59390.5939
2024-02-200.58700.5870
2024-02-190.58700.5870
2024-02-080.58010.5801
2024-02-070.57350.5735
2024-02-060.56420.5642
2024-02-050.54430.5443
2024-02-020.54810.5481
2024-02-010.55180.5518
2024-01-310.55250.5525
2024-01-300.56040.5604
2024-01-290.57080.5708
2024-01-260.57130.5713
2024-01-250.57250.5725
2024-01-240.56640.5664
2024-01-230.56300.5630
2024-01-220.56370.5637
2024-01-190.58130.5813
2024-01-180.57900.5790
2024-01-170.57670.5767
2024-01-160.58980.5898
2024-01-150.58840.5884
2024-01-120.58850.5885