• 1
當前位置:
開放式基金 > 開放基金資料 >
基金凈值
 
建信鑫利回報靈活配置混合A 004652
1117 條記錄    每頁 30 條    頁次:2 / 38   
凈值日期單位凈值(元)累計凈值(元)
2022-06-28 1.333800001.33380000
2022-06-27 1.331800001.33180000
2022-06-24 1.329400001.32940000
2022-06-23 1.331000001.33100000
2022-06-22 1.328400001.32840000
2022-06-21 1.337800001.33780000
2022-06-20 1.335000001.33500000
2022-06-17 1.344600001.34460000
2022-06-16 1.342200001.34220000
2022-06-15 1.347900001.34790000
2022-06-14 1.354300001.35430000
2022-06-13 1.351700001.35170000
2022-06-10 1.354800001.35480000
2022-06-09 1.349600001.34960000
2022-06-08 1.346000001.34600000
2022-06-07 1.339000001.33900000
2022-06-06 1.334900001.33490000
2022-06-02 1.326700001.32670000
2022-06-01 1.331900001.33190000
2022-05-31 1.335700001.33570000
2022-05-30 1.336800001.33680000
2022-05-27 1.330000001.33000000
2022-05-26 1.322500001.32250000
2022-05-25 1.319900001.31990000
2022-05-24 1.311400001.31140000
2022-05-23 1.318100001.31810000
2022-05-20 1.309400001.30940000
2022-05-19 1.304200001.30420000
2022-05-18 1.308300001.30830000
2022-05-17 1.304600001.30460000
1117 條記錄    每頁 30 條    頁次:2 / 38   
基金數據僅供參考,具體請以實際購買時的交易系統數據為準。基金數據和資訊僅供投資者參考,並不構成投資建議。投資者據此操作,風險自擔。
服務熱線:95555    境外服務熱線:86-755-84391000
信用卡服務熱線:400-820-5555      企業年金專線:400-609-5555
金葵花貴賓服務專線:40088-95555鑽石貴賓服務專線:40068-95555私人銀行服務專線:40066-95555