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基金净值
 
申万菱信安鑫智选混合C 011055
516 条记录    每页 30 条    页次:2 / 18   
净值日期单位净值(元)累计净值(元)
2023-05-15 1.010200001.01020000
2023-05-12 1.010200001.01020000
2023-05-11 1.010200001.01020000
2023-05-10 1.010200001.01020000
2023-05-09 1.010200001.01020000
2023-05-08 1.010100001.01010000
2023-05-05 1.010000001.01000000
2023-05-04 1.010000001.01000000
2023-04-28 1.009800001.00980000
2023-04-27 1.009700001.00970000
2023-04-26 1.009500001.00950000
2023-04-25 1.009400001.00940000
2023-04-24 1.009400001.00940000
2023-04-21 1.009300001.00930000
2023-04-20 1.009300001.00930000
2023-04-19 1.009200001.00920000
2023-04-18 1.009200001.00920000
2023-04-17 1.009100001.00910000
2023-04-14 1.008800001.00880000
2023-04-13 1.008800001.00880000
2023-04-12 1.008700001.00870000
2023-04-11 1.008600001.00860000
2023-04-10 1.008500001.00850000
2023-04-07 1.008000001.00800000
2023-04-06 1.007900001.00790000
2023-04-04 1.007600001.00760000
2023-04-03 1.007400001.00740000
2023-03-31 1.006900001.00690000
2023-03-30 1.006700001.00670000
2023-03-29 1.006500001.00650000
516 条记录    每页 30 条    页次:2 / 18   
基金数据仅供参考,具体请以实际购买时的交易系统数据为准。基金数据和资讯仅供投资者参考,并不构成投资建议。投资者据此操作,风险自担。
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