兴银丰盈灵活配置C
(018574.jj)兴银基金管理有限责任公司持有人户数5.00
成立日期2023-06-02
总资产规模
4,411.70 (2024-09-30)
基金类型混合型当前净值1.8787基金经理孔晓语管理费用率0.80%管托费用率0.10%成立以来分红再投入年化收益率-5.16%
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兴银丰盈灵活配置C(018574) - 历史基金净值数据曲线

最后更新于:2024-12-20

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兴银丰盈灵活配置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
2024-12-201.87872.0097
2024-12-191.86031.9913
2024-12-181.84111.9721
2024-12-171.81731.9483
2024-12-161.85031.9813
2024-12-131.87552.0065
2024-12-121.90482.0358
2024-12-111.89662.0276
2024-12-101.87572.0067
2024-12-091.84001.9710
2024-12-061.84271.9737
2024-12-051.82841.9594
2024-12-041.81591.9469
2024-12-031.83501.9660
2024-12-021.84041.9714
2024-11-291.81701.9480
2024-11-281.79491.9259
2024-11-271.79521.9262
2024-11-261.76481.8958
2024-11-251.78231.9133
2024-11-221.77961.9106
2024-11-211.83561.9666
2024-11-201.83901.9700
2024-11-191.81651.9475
2024-11-181.78891.9199
2024-11-151.81631.9473
2024-11-141.84541.9764
2024-11-131.88112.0121
2024-11-121.86511.9961
2024-11-111.89212.0231
2024-11-081.86301.9940
2024-11-071.86341.9944
2024-11-061.83831.9693
2024-11-051.83881.9698
2024-11-041.79961.9306
2024-11-011.77721.9082
2024-10-311.78951.9205
2024-10-301.78091.9119
2024-10-291.77601.9070
2024-10-281.79361.9246
2024-10-251.77301.9040
2024-10-241.75471.8857
2024-10-231.77111.9021
2024-10-221.77771.9087
2024-10-211.77561.9066
2024-10-181.75491.8859
2024-10-171.68201.8130
2024-10-161.68561.8166
2024-10-151.69791.8289
2024-10-141.73241.8634