招商精选平衡混合C
(013760.jj)(已退市)招商基金管理有限公司
成立日期2022-03-07退市时间2023-05-26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-5.24%
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招商精选平衡混合C(013760) - 历史基金净值数据曲线

最后更新于:2023-05-26

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招商精选平衡混合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
2023-05-260.93670.9367
2023-05-250.94850.9485
2023-05-240.96140.9614
2023-05-230.97110.9711
2023-05-220.97900.9790
2023-05-190.98150.9815
2023-05-180.98620.9862
2023-05-170.98360.9836
2023-05-160.99050.9905
2023-05-150.99170.9917
2023-05-120.97730.9773
2023-05-110.99290.9929
2023-05-100.99230.9923
2023-05-090.99640.9964
2023-05-081.00211.0021
2023-05-050.97780.9778
2023-05-040.98090.9809
2023-04-280.98970.9897
2023-04-270.98490.9849
2023-04-260.98770.9877
2023-04-250.98010.9801
2023-04-240.98600.9860
2023-04-210.99830.9983
2023-04-201.01391.0139
2023-04-191.02151.0215
2023-04-181.02721.0272
2023-04-171.01661.0166
2023-04-140.99750.9975
2023-04-130.99470.9947
2023-04-120.99330.9933
2023-04-110.98720.9872
2023-04-100.98990.9899
2023-04-070.99510.9951
2023-04-060.99590.9959
2023-04-041.00001.0000
2023-04-031.00211.0021
2023-03-311.00501.0050
2023-03-301.00671.0067
2023-03-290.98610.9861
2023-03-280.99170.9917
2023-03-270.99350.9935
2023-03-240.98560.9856
2023-03-230.99380.9938
2023-03-220.99110.9911
2023-03-210.98600.9860
2023-03-200.98040.9804
2023-03-170.98890.9889
2023-03-160.98540.9854
2023-03-151.01621.0162
2023-03-141.01161.0116