申万菱信宏量混合C
(013568.jj)(已退市)申万菱信基金管理有限公司
成立日期2022-01-18退市时间2023-08-01基金类型混合型当前净值--基金经理 -- 成立以来分红再投入年化收益率-2.29%
备注 (0): 双击编辑备注
发表讨论

申万菱信宏量混合C(013568) - 历史基金净值数据曲线

最后更新于:2023-08-01

数据选项
加载中......
申万菱信宏量混合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
2023-08-010.96500.9650
2023-07-310.96500.9650
2023-07-280.96150.9615
2023-07-270.96040.9604
2023-07-260.95500.9550
2023-07-250.95180.9518
2023-07-240.95190.9519
2023-07-210.95050.9505
2023-07-200.95000.9500
2023-07-190.94950.9495
2023-07-180.94900.9490
2023-07-170.94860.9486
2023-07-140.94720.9472
2023-07-130.94680.9468
2023-07-120.94580.9458
2023-07-110.94530.9453
2023-07-100.94480.9448
2023-07-070.94320.9432
2023-07-060.94330.9433
2023-07-050.94770.9477
2023-07-040.94920.9492
2023-07-030.94890.9489
2023-06-300.94730.9473
2023-06-290.94580.9458
2023-06-280.94730.9473
2023-06-270.94760.9476
2023-06-260.94660.9466
2023-06-210.94850.9485
2023-06-200.95190.9519
2023-06-190.95250.9525
2023-06-160.95350.9535
2023-06-150.95160.9516
2023-06-140.94700.9470
2023-06-130.94720.9472
2023-06-120.94600.9460
2023-06-090.94450.9445
2023-06-080.94290.9429
2023-06-070.94250.9425
2023-06-060.94390.9439
2023-06-050.94630.9463
2023-06-020.94800.9480
2023-06-010.94630.9463
2023-05-310.94620.9462
2023-05-300.94800.9480
2023-05-290.94830.9483
2023-05-260.95100.9510
2023-05-250.95180.9518
2023-05-240.95140.9514
2023-05-230.95240.9524
2023-05-220.95410.9541