创金合信瑞裕混合A(011444)基金净值
序号 |
日期 |
最新净值 |
累计净值 |
1 |
2022-08-30 |
0.8282 |
0.8282 |
2 |
2022-07-19 |
0.8282 |
0.8282 |
3 |
2022-07-18 |
0.8256 |
0.8256 |
4 |
2022-07-15 |
0.8142 |
0.8142 |
5 |
2022-07-14 |
0.8204 |
0.8204 |
6 |
2022-07-13 |
0.8351 |
0.8351 |
7 |
2022-07-12 |
0.8451 |
0.8451 |
8 |
2022-07-11 |
0.8445 |
0.8445 |
9 |
2022-07-08 |
0.8435 |
0.8435 |
10 |
2022-07-07 |
0.8434 |
0.8434 |
11 |
2022-07-06 |
0.8449 |
0.8449 |
12 |
2022-07-05 |
0.8481 |
0.8481 |
13 |
2022-07-04 |
0.8469 |
0.8469 |
14 |
2022-07-01 |
0.8479 |
0.8479 |
15 |
2022-06-30 |
0.8490 |
0.8490 |
16 |
2022-06-29 |
0.8465 |
0.8465 |
17 |
2022-06-28 |
0.8456 |
0.8456 |
18 |
2022-06-27 |
0.8414 |
0.8414 |
19 |
2022-06-24 |
0.8400 |
0.8400 |
20 |
2022-06-23 |
0.8411 |
0.8411 |
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