国泰中证细分机械设备产业主题ETF联接C
(012517.jj)(已退市)细分机械 (半年) 国泰基金管理有限公司
成立日期2021-06-08退市时间2024-06-11基金类型指数型基金(ETF,联接型)当前净值--基金经理 -- 成立以来分红再投入年化收益率-11.84%
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国泰中证细分机械设备产业主题ETF联接C(012517) - 历史基金净值数据曲线

最后更新于:2024-06-11

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国泰中证细分机械设备产业主题ETF联接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
2024-06-110.68450.6845
2024-06-070.69090.6909
2024-06-060.70250.7025
2024-06-050.70600.7060
2024-06-040.71360.7136
2024-06-030.70330.7033
2024-05-310.70300.7030
2024-05-300.70950.7095
2024-05-290.70710.7071
2024-05-280.70130.7013
2024-05-270.70940.7094
2024-05-240.70700.7070
2024-05-230.71170.7117
2024-05-220.72190.7219
2024-05-210.70800.7080
2024-05-200.71310.7131
2024-05-170.71490.7149
2024-05-160.71290.7129
2024-05-150.71540.7154
2024-05-140.72240.7224
2024-05-130.72760.7276
2024-05-100.72870.7287
2024-05-090.73590.7359
2024-05-080.71620.7162
2024-05-070.72550.7255
2024-05-060.72320.7232
2024-04-300.70890.7089
2024-04-290.71810.7181
2024-04-260.70120.7012
2024-04-250.68980.6898
2024-04-240.69010.6901
2024-04-230.69100.6910
2024-04-220.70070.7007
2024-04-190.70710.7071
2024-04-180.71690.7169
2024-04-170.72100.7210
2024-04-160.70730.7073
2024-04-150.71850.7185
2024-04-120.70120.7012
2024-04-110.71220.7122
2024-04-100.70650.7065
2024-04-090.71390.7139
2024-04-080.71130.7113
2024-04-030.72170.7217
2024-04-020.72720.7272
2024-04-010.72490.7249
2024-03-290.70740.7074
2024-03-280.69880.6988
2024-03-270.69450.6945
2024-03-260.70990.7099