首页 - 基金理财 - 历史净值
安信新价值灵活配置混合型证券投资基金
日期 单位净值 累计净值
20230201 1.5435 1.5935
20230131 1.5394 1.5894
20230130 1.5407 1.5907
20230120 1.5414 1.5914
20230119 1.5337 1.5837
20230118 1.5295 1.5795
20230117 1.5293 1.5793
20230116 1.5282 1.5782
20230113 1.5218 1.5718
20230112 1.5173 1.5673
20230111 1.5184 1.5684
20230110 1.5162 1.5662
20230109 1.5185 1.5685
20230106 1.5161 1.5661
20230105 1.5167 1.5667
20230104 1.5080 1.5580
20230103 1.5030 1.5530
20221231 1.4979 1.5479
20221230 1.4980 1.5480
20221229 1.4964 1.5464