浙商创业板指数增强A
(010749.jj)(已退市)创业板指 (半年) 浙商基金管理有限公司
成立日期2021-03-19退市时间2024-03-19基金类型指数型基金当前净值--基金经理 -- 持仓换手率452.98% (2023-12-31) 成立以来分红再投入年化收益率-11.44%
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浙商创业板指数增强A(010749) - 历史基金净值数据曲线

最后更新于:2024-03-19

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浙商创业板指数增强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
2024-03-190.69450.6945
2024-03-180.69900.6990
2024-03-150.68670.6867
2024-03-140.68690.6869
2024-03-130.69030.6903
2024-03-120.69250.6925
2024-03-110.68670.6867
2024-03-080.66300.6630
2024-03-070.65810.6581
2024-03-060.66970.6697
2024-03-050.67020.6702
2024-03-040.67380.6738
2024-03-010.67200.6720
2024-02-290.66540.6654
2024-02-280.64620.6462
2024-02-270.66280.6628
2024-02-260.64830.6483
2024-02-230.64830.6483
2024-02-220.64730.6473
2024-02-210.64370.6437
2024-02-200.64110.6411
2024-02-190.64180.6418
2024-02-080.64160.6416
2024-02-070.63350.6335
2024-02-060.61040.6104
2024-02-050.57220.5722
2024-02-020.57470.5747
2024-02-010.58960.5896
2024-01-310.58800.5880
2024-01-300.59590.5959
2024-01-290.60980.6098
2024-01-260.62510.6251
2024-01-250.63620.6362
2024-01-240.62400.6240
2024-01-230.61810.6181
2024-01-220.61180.6118
2024-01-190.63160.6316
2024-01-180.63640.6364
2024-01-170.62960.6296
2024-01-160.64710.6471
2024-01-150.64560.6456
2024-01-120.65040.6504
2024-01-110.65450.6545
2024-01-100.64500.6450
2024-01-090.64780.6478
2024-01-080.64610.6461
2024-01-050.65800.6580
2024-01-040.66640.6664
2024-01-030.67560.6756
2024-01-020.68090.6809