中银证券优势成长混合C
(017891.jj)(已退市)中银国际证券股份有限公司
成立日期2023-05-17退市时间2024-09-09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-39.57%
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中银证券优势成长混合C(017891) - 历史基金净值数据曲线

最后更新于:2024-09-09

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中银证券优势成长混合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
2024-09-090.51650.5165
2024-09-060.51840.5184
2024-09-050.52730.5273
2024-09-040.52750.5275
2024-09-030.53660.5366
2024-09-020.53580.5358
2024-08-300.55380.5538
2024-08-290.53860.5386
2024-08-280.53990.5399
2024-08-270.53810.5381
2024-08-260.54830.5483
2024-08-230.55500.5550
2024-08-220.55980.5598
2024-08-210.56470.5647
2024-08-200.56250.5625
2024-08-190.56820.5682
2024-08-160.57010.5701
2024-08-150.56600.5660
2024-08-140.56520.5652
2024-08-130.57250.5725
2024-08-120.56710.5671
2024-08-090.56860.5686
2024-08-080.56590.5659
2024-08-070.57210.5721
2024-08-060.57490.5749
2024-08-050.56580.5658
2024-08-020.59570.5957
2024-08-010.61420.6142
2024-07-310.61560.6156
2024-07-300.59950.5995
2024-07-290.60230.6023
2024-07-260.60330.6033
2024-07-250.59880.5988
2024-07-240.61210.6121
2024-07-230.61830.6183
2024-07-220.63820.6382
2024-07-190.63480.6348
2024-07-180.63670.6367
2024-07-170.64120.6412
2024-07-160.66260.6626
2024-07-150.64400.6440
2024-07-120.64500.6450
2024-07-110.64600.6460
2024-07-100.63890.6389
2024-07-090.63120.6312
2024-07-080.60430.6043
2024-07-050.60670.6067
2024-07-040.60530.6053
2024-07-030.60750.6075
2024-07-020.61000.6100