大摩现代服务混合A
(014246.jj)(已退市)摩根士丹利基金管理(中国)有限公司
成立日期2022-02-24退市时间2023-12-18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-4.44%
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大摩现代服务混合A(014246) - 历史基金累计净值数据曲线

最后更新于:2023-12-18

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大摩现代服务混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-12-180.92080.9208
2023-12-150.93070.9307
2023-12-140.92670.9267
2023-12-130.92680.9268
2023-12-120.93030.9303
2023-12-110.92570.9257
2023-12-080.90840.9084
2023-12-070.89900.8990
2023-12-060.89190.8919
2023-12-050.88680.8868
2023-12-040.90540.9054
2023-12-010.91500.9150
2023-11-300.91510.9151
2023-11-290.92360.9236
2023-11-280.92770.9277
2023-11-270.90590.9059
2023-11-240.89930.8993
2023-11-230.91050.9105
2023-11-220.89860.8986
2023-11-210.92560.9256
2023-11-200.94080.9408
2023-11-170.93300.9330
2023-11-160.93000.9300
2023-11-150.93950.9395
2023-11-140.92620.9262
2023-11-130.92600.9260
2023-11-100.92180.9218
2023-11-090.91250.9125
2023-11-080.92610.9261
2023-11-070.93970.9397
2023-11-060.93550.9355
2023-11-030.90500.9050
2023-11-020.88220.8822
2023-11-010.89500.8950
2023-10-310.90300.9030
2023-10-300.90930.9093
2023-10-270.86180.8618
2023-10-260.85320.8532
2023-10-250.85450.8545
2023-10-240.85310.8531
2023-10-230.84640.8464
2023-10-200.84920.8492
2023-10-190.86020.8602
2023-10-180.87020.8702
2023-10-170.87870.8787
2023-10-160.88390.8839
2023-10-130.90260.9026
2023-10-120.90590.9059
2023-10-110.90170.9017
2023-10-100.88120.8812