首页 - 基金理财 - 历史净值
国融融盛龙头严选混合型证券投资基金
日期 单位净值 累计净值
20230310 1.1909 1.2409
20230309 1.1982 1.2482
20230308 1.1713 1.2213
20230307 1.1643 1.2143
20230306 1.1922 1.2422
20230303 1.1832 1.2332
20230302 1.1690 1.2190
20230301 1.1819 1.2319
20230228 1.1732 1.2232
20230227 1.1764 1.2264
20230224 1.1946 1.2446
20230223 1.1962 1.2462
20230222 1.1914 1.2414
20230221 1.1862 1.2362
20230220 1.2013 1.2513
20230217 1.1851 1.2351
20230216 1.2234 1.2734
20230215 1.2536 1.3036
20230214 1.2361 1.2861
20230213 1.2386 1.2886