首页 - 基金理财 - 历史净值
大成产业趋势混合型证券投资基金
日期 单位净值 累计净值
20230112 1.3823 1.3823
20230111 1.3819 1.3819
20230110 1.3864 1.3864
20230109 1.3831 1.3831
20230106 1.3564 1.3564
20230105 1.3527 1.3527
20230104 1.3457 1.3457
20230103 1.3416 1.3416
20221231 1.3302 1.3302
20221230 1.3303 1.3303
20221229 1.3225 1.3225
20221228 1.3079 1.3079
20221227 1.3130 1.3130
20221226 1.2940 1.2940
20221223 1.2689 1.2689
20221222 1.2789 1.2789
20221221 1.2972 1.2972
20221220 1.2918 1.2918
20221219 1.3014 1.3014
20221216 1.3230 1.3230