基金经理:赵蓬
单位净值:1.9520 | 净值增长率:1.09% | 累计净值:1.9520 | 截止日期:2025/03/07 | ||
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最新估值:1.9463(15:04) | 涨跌幅:0.79% | 涨跌额:0.0153 | |||
最新规模:1.11亿元 | 风险等级:中等风险 | 申购状态:可申购 | 赎回状态:可赎回 |
大成盛世精选混合A(002945)历史净值 |
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日期 | 单位净值(元) | 累计净值(元) | 净值增长率 | |
2025/3/7 | 1.952 | 1.952 | 1.088% | |
2025/3/6 | 1.931 | 1.931 | 0.994% | |
2025/3/5 | 1.912 | 1.912 | -0.209% | |
2025/3/4 | 1.916 | 1.916 | 1.002% | |
2025/3/3 | 1.897 | 1.897 | 0.851% | |
2025/2/28 | 1.881 | 1.881 | -1.415% | |
2025/2/27 | 1.908 | 1.908 | -0.78% | |
2025/2/26 | 1.923 | 1.923 | 0.786% | |
2025/2/25 | 1.908 | 1.908 | -0.677% | |
2025/2/24 | 1.921 | 1.921 | 0.261% | |
2025/2/21 | 1.916 | 1.916 | -0.208% | |
2025/2/20 | 1.92 | 1.92 | 0.209% | |
2025/2/19 | 1.916 | 1.916 | 0.789% | |
2025/2/18 | 1.901 | 1.901 | -0.679% | |
2025/2/17 | 1.914 | 1.914 | -1.289% | |
2025/2/14 | 1.939 | 1.939 | -0.103% | |
2025/2/13 | 1.941 | 1.941 | -0.513% | |
2025/2/12 | 1.951 | 1.951 | 0.103% | |
2025/2/11 | 1.949 | 1.949 | -0.205% | |
2025/2/10 | 1.953 | 1.953 | 0.051% |