创金合信港股通成长股票C
(012316.jj)(已退市)创金合信基金管理有限公司
成立日期2021-06-23退市时间2024-06-21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-28.89%
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创金合信港股通成长股票C(012316) - 历史基金累计净值数据曲线

最后更新于:2024-06-21

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创金合信港股通成长股票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
2024-06-210.36020.3602
2024-06-200.36240.3624
2024-06-190.37020.3702
2024-06-180.36640.3664
2024-06-170.37580.3758
2024-06-140.36870.3687
2024-06-130.36280.3628
2024-06-120.35550.3555
2024-06-110.35570.3557
2024-06-070.36160.3616
2024-06-060.36650.3665
2024-06-050.37700.3770
2024-06-040.38030.3803
2024-06-030.36790.3679
2024-05-310.37390.3739
2024-05-300.36190.3619
2024-05-290.36380.3638
2024-05-280.37370.3737
2024-05-270.37600.3760
2024-05-240.37690.3769
2024-05-230.39230.3923
2024-05-220.39230.3923
2024-05-210.39160.3916
2024-05-200.40420.4042
2024-05-170.40110.4011
2024-05-160.40760.4076
2024-05-150.41340.4134
2024-05-140.41340.4134
2024-05-130.40660.4066
2024-05-100.41370.4137
2024-05-090.40970.4097
2024-05-080.40250.4025
2024-05-070.40560.4056
2024-05-060.41090.4109
2024-04-300.39440.3944
2024-04-290.38980.3898
2024-04-260.38450.3845
2024-04-250.37440.3744
2024-04-240.37190.3719
2024-04-230.36680.3668
2024-04-220.35870.3587
2024-04-190.36050.3605
2024-04-180.37040.3704
2024-04-170.37180.3718
2024-04-160.37160.3716
2024-04-150.38680.3868
2024-04-120.39300.3930
2024-04-110.39670.3967
2024-04-100.40080.4008
2024-04-090.40250.4025