首页 - 基金 - 兴业聚兴混合C(012026) - 基金净值
兴业聚兴混合C(012026)基金净值
序号 日期 最新净值 累计净值
1 2025-07-23 1.0640 1.0640
2 2025-07-22 1.0641 1.0641
3 2025-07-21 1.0646 1.0646
4 2025-07-18 1.0647 1.0647
5 2025-07-17 1.0635 1.0635
6 2025-07-16 1.0613 1.0613
7 2025-07-15 1.0613 1.0613
8 2025-07-14 1.0598 1.0598
9 2025-07-11 1.0609 1.0609
10 2025-07-10 1.0619 1.0619
11 2025-07-09 1.0624 1.0624
12 2025-07-08 1.0628 1.0628
13 2025-07-07 1.0621 1.0621
14 2025-07-04 1.0635 1.0635
15 2025-07-03 1.0630 1.0630
16 2025-07-02 1.0614 1.0614
17 2025-07-01 1.0618 1.0618
18 2025-06-30 1.0606 1.0606
19 2025-06-27 1.0603 1.0603
20 2025-06-26 1.0609 1.0609
网站导航 | 公司简介 | 法律声明 | 诚聘英才 | 征稿启事 | 联系我们 | 广告服务 | 举报专区
欢迎访问证券之星!请点此与我们联系 版权所有: Copyright © 1996-