博时养老目标2040五年持有混合发起(FOF)
(013022.jj)(已退市)博时基金管理有限公司
成立日期2021-08-30退市时间2024-08-30基金类型FOF(养老目标基金)当前净值--基金经理 -- 持仓换手率18.70% (2024-06-30) 成立以来分红再投入年化收益率-10.97%
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博时养老目标2040五年持有混合发起(FOF)(013022) - 历史基金净值数据曲线

最后更新于:2024-08-30

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博时养老目标2040五年持有混合发起(FOF)历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-08-300.70580.7058
2024-08-290.70140.7014
2024-08-280.70110.7011
2024-08-260.70260.7026
2024-08-230.70290.7029
2024-08-220.70340.7034
2024-08-210.70420.7042
2024-08-200.70490.7049
2024-08-190.71170.7117
2024-08-160.71020.7102
2024-08-150.70970.7097
2024-08-140.70570.7057
2024-08-130.70870.7087
2024-08-120.70700.7070
2024-08-080.70530.7053
2024-08-070.70600.7060
2024-08-060.70330.7033
2024-08-050.70090.7009
2024-08-020.71010.7101
2024-08-010.71570.7157
2024-07-310.71760.7176
2024-07-300.70580.7058
2024-07-290.71040.7104
2024-07-260.71060.7106
2024-07-250.70750.7075
2024-07-240.71360.7136
2024-07-230.71660.7166
2024-07-220.72630.7263
2024-07-190.72770.7277
2024-07-180.73180.7318
2024-07-170.72920.7292
2024-07-160.73640.7364
2024-07-150.73520.7352
2024-07-120.73370.7337
2024-07-110.73750.7375
2024-07-100.73350.7335
2024-07-090.74150.7415
2024-07-080.73760.7376
2024-07-050.74230.7423
2024-07-040.74000.7400
2024-07-030.74240.7424
2024-07-020.74460.7446
2024-07-010.74670.7467
2024-06-280.73960.7396
2024-06-270.73390.7339
2024-06-260.74030.7403
2024-06-250.73840.7384
2024-06-240.73930.7393
2024-06-210.74650.7465
2024-06-200.74830.7483