国寿安保华丰混合A
(010765.jj)(已退市)国寿安保基金管理有限公司
成立日期2021-02-01退市时间2024-02-07基金类型混合型当前净值--基金经理 -- 持仓换手率976.91% (2023-12-31) 成立以来分红再投入年化收益率-19.84%
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国寿安保华丰混合A(010765) - 历史基金净值数据曲线

最后更新于:2024-02-07

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国寿安保华丰混合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
2024-02-070.51330.5133
2024-02-060.50560.5056
2024-02-050.48560.4856
2024-02-020.49670.4967
2024-02-010.50740.5074
2024-01-310.50570.5057
2024-01-300.51880.5188
2024-01-290.53030.5303
2024-01-260.54610.5461
2024-01-250.55990.5599
2024-01-240.55010.5501
2024-01-230.54970.5497
2024-01-220.54190.5419
2024-01-190.56390.5639
2024-01-180.56910.5691
2024-01-170.56570.5657
2024-01-160.57930.5793
2024-01-150.58080.5808
2024-01-120.57950.5795
2024-01-110.58450.5845
2024-01-100.57440.5744
2024-01-090.58120.5812
2024-01-080.57710.5771
2024-01-050.58730.5873
2024-01-040.59920.5992
2024-01-030.60360.6036
2024-01-020.61320.6132
2023-12-290.62100.6210
2023-12-280.60950.6095
2023-12-270.60630.6063
2023-12-260.59860.5986
2023-12-250.60880.6088
2023-12-220.60860.6086
2023-12-210.62230.6223
2023-12-200.61850.6185
2023-12-190.62520.6252
2023-12-180.62150.6215
2023-12-150.62830.6283
2023-12-140.63220.6322
2023-12-130.63430.6343
2023-12-120.64030.6403
2023-12-110.64110.6411
2023-12-080.63240.6324
2023-12-070.62940.6294
2023-12-060.63230.6323
2023-12-050.62990.6299
2023-12-040.64140.6414
2023-12-010.64660.6466
2023-11-300.64490.6449
2023-11-290.64730.6473