君之健翱翔稳进证券投资基金
来源:
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作者:广东君之健投资管理有限公司
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发布时间: 2025-08-05
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5857 次浏览
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分享到:
君之健翱翔稳进证券投资基金于2016年1月21日成立运作,产品初始规模为8.18亿。
2025年君之健翱翔稳进证券投资基金产品净值周报
| 日期 | 单位净值 | 累计单位净值 | 日期 | 单位净值 | 累计单位净值 |
| 2025/1/3 | 3.194 | 3.194 | 2025/1/10 | 3.147 | 3.147 |
| 2025/1/17 | 3.166 | 3.166 | 2025/1/24 | 3.201 | 3.201 |
| 2025/1/27 | 3.202 | 3.202 | 2025/2/7 | 3.301 | 3.301 |
| 2025/2/14 | 3.489 | 3.489 | 2025/2/21 | 3.694 | 3.694 |
| 2025/2/28 | 3.454 | 3.454 | 2025/3/7 | 3.603 | 3.603 |
| 2025/3/14 | 3.609 | 3.609 | 2025/3/21 | 3.527 | 3.527 |
| 2025/3/28 | 3.532 | 3.532 | 2025/4/3 | 3.591 | 3.591 |
| 2025/4/11 | 3.493 | 3.493 | 2025/4/18 | 3.512 | 3.512 |
| 2025/4/25 | 3.432 | 3.432 | 2025/4/30 | 3.421 | 3.421 |
| 2025/5/9 | 3.499 | 3.499 | 2025/5/16 | 3.509 | 3.509 |
| 2025/5/23 | 3.543 | 3.543 | 2025/5/30 | 3.566 | 3.566 |
| 2025/6/6 | 3.535 | 3.535 | 2025/6/13 | 3.558 | 3.558 |
| 2025/6/20 | 3.502 | 3.502 | 2025/6/27 | 3.562 | 3.562 |
| 2025/6/30 | 3.552 | 3.552 | 2025/7/4 | 3.569 | 3.569 |
| 2025/7/11 | 3.667 | 3.667 | 2025/7/18 | 3.785 | 3.785 |
| 2025/7/25 | 3.856 | 3.856 | 2025/7/31 | 3.867 | 3.867 |
| 2025/8/1 | 3.857 | 3.857 |
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2024年君之健翱翔稳进证券投资基金产品净值周报
| 日期 | 单位净值 | 累计单位净值 | 日期 | 单位净值 | 累计单位净值 |
| 2024/1/5 | 2.491 | 2.491 | 2024/1/12 | 2.486 | 2.486 |
| 2024/1/19 | 2.457 | 2.457 | 2024/1/26 | 2.584 | 2.584 |
| 2024/2/2 | 2.59 | 2.59 | 2024/2/8 | 2.634 | 2.634 |
| 2024/2/23 | 2.767 | 2.767 | 2024/3/1 | 2.685 | 2.685 |
| 2024/3/8 | 2.737 | 2.737 | 2024/3/15 | 2.635 | 2.635 |
| 2024/3/22 | 2.66 | 2.66 | 2024/3/29 | 2.699 | 2.699 |
| 2024/4/3 | 2.71 | 2.71 | 2024/4/12 | 2.75 | 2.75 |
| 2024/4/19 | 2.81 | 2.81 | 2024/4/26 | 2.784 | 2.784 |
| 2024/4/30 | 2.774 | 2.774 | 2024/5/10 | 2.872 | 2.872 |
| 2024/5/17 | 2.878 | 2.878 | 2024/5/24 | 2.902 | 2.902 |
| 2024/5/31 | 2.956 | 2.956 | 2024/6/7 | 3.035 | 3.035 |
| 2024/6/14 | 3.022 | 3.022 | 2024/6/21 | 3.025 | 3.025 |
| 2024/6/28 | 3.079 | 3.079 | 2024/7/5 | 3.14 | 3.14 |
| 2024/7/12 | 3.152 | 3.152 | 2024/7/19 | 3.101 | 3.101 |
| 2024/7/26 | 3.005 | 3.005 | 2024/8/2 | 3.014 | 3.014 |
| 2024/8/9 | 2.895 | 2.895 | 2024/8/16 | 2.961 | 2.961 |
| 2024/8/23 | 2.979 | 2.979 | 2024/8/30 | 2.939 | 2.939 |
| 2024/9/6 | 2.935 | 2.935 | 2024/9/13 | 2.873 | 2.873 |
| 2024/9/20 | 2.891 | 2.891 | 2024/9/27 | 2.994 | 2.994 |
| 2024/9/30 | 3.146 | 3.146 | 2024/10/11 | 3.253 | 3.253 |
| 2024/10/18 | 3.234 | 3.234 | 2024/10/25 | 3.177 | 3.177 |
| 2024/11/1 | 3.140 | 3.140 | 2024/11/8 | 3.196 | 3.196 |
| 2024/11/15 | 3.111 | 3.111 | 2024/11/22 | 3.084 | 3.084 |
| 2024/11/29 | 3.113 | 3.113 | 2024/12/6 | 3.217 | 3.217 |
| 2024/12/13 | 3.216 | 3.216 | 2024/12/20 | 3.280 | 3.280 |
| 2024/12/27 | 3.327 | 3.327 | 2024/12/31 | 3.309 | 3.309 |
2023年君之健翱翔稳进证券投资基金产品净值周报
| 日期 | 单位净值 | 累计单位净值 | 日期 | 单位净值 | 累计单位净值 |
2023-01-06
| 2.005 | 2.005 | 2023-01-13 | 2.061 | 2.061 |
2023-01-20
| 2.143 | 2.143 | 2023-02-03 | 2.122 | 2.122 |
| 2023-02-10 | 2.113 | 2.113 | 2023-02-17 | 2.135 | 2.135 |
| 2023-02-24 | 2.162 | 2.162 | 2023-02-28 | 2.178 | 2.178 |
| 2023-03-03 | 2.281 | 2.281 | 2023-03-10 | 2.251 | 2.251 |
| 2023-03-17 | 2.321 | 2.321 | 2023-03-24 | 2.23 | 2.23 |
| 2023-03-31 | 2.244 | 2.244 | 2023-04-07 | 2.297 | 2.297 |
| 2023-04-14 | 2.347 | 2.347 | 2023-04-21 | 2.37 | 2.37 |
| 2023-04-28 | 2.42 | 2.42 | 2023-05-05 | 2.475 | 2.475 |
2023-05-12
| 2.435 | 2.435 | 2023-05-19 | 2.445 | 2.445 |
2023-05-26
| 2.363 | 2.363 | 2023-06-02
| 2.365 | 2.365 |
| 2023/6/9 | 2.432 | 2.432 | 2023/6/16 | 2.392 | 2.392 |
| 2023/6/21 | 2.347 | 2.347 | 2023/6/30
| 2.369 | 2.369 |
2023/7/7
| 2.358 | 2.358 | 2023/7/14 | 2.405 | 2.405 |
2023/7/21
| 2.423 | 2.423 | 2023/7/28 | 2.429 | 2.429 |
2023/8/4
| 2.423 | 2.423 | 2023/8/11 | 2.424 | 2.424 |
2023/8/18
| 2.398 | 2.398 | 2023/8/25 | 2.378 | 2.378 |
2023/9/1
| 2.4 | 2.4 | 2023/9/8 | 2.422 | 2.422 |
2023/9/15
| 2.497 | 2.497 | 2023/9/22 | 2.514 | 2.514 |
2023/9/28
| 2.466 | 2.466 | 2023/10/13 | 2.437 | 2.437 |
| 2023/10/20 | 2.39
| 2.39 | 2023/10/27 | 2.335 | 2.335 |
2023/11/3
| 2.341 | 2.341 | 2023/11/10
| 2.32 | 2.32 |
2023/11/17
| 2.332 | 2.332 | 2023/11/24 | 2.346 | 2.346 |
2023/12/1
| 2.357 | 2.357 | 2023/12/8 | 2.353 | 2.353 |
2023/12/15
| 2.345 | 2.345 | 2023/12/22 | 2.347 | 2.347 |
2023/12/29
| 2.447 | 2.447 |
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2022年君之健翱翔稳进证券投资基金产品净值周报
| 日期 | 单位净值 | 累计单位净值 | 日期 | 单位净值 | 累计单位净值 |
2022-01-07
| 1.725
| 1.725 | 2022-01-14 | 1.759 | 1.759 |
| 2022-01-21 | 1.804 | 1.804 | 2022-01-28 | 1.744 | 1.744 |
| 2022-02-11 | 1.88 | 1.88 | 2022-02-18 | 1.879 | 1.879 |
| 2022-02-25 | 1.812
| 1.812 | 2022-03-04 | 1.84
| 1.84 |
| 2022-03-11 | 1.763 | 1.763 | 2022-03-18 | 1.774 | 1.774 |
| 2022-03-25 | 1.799 | 1.799 | 2022-03-31 | 1.831
| 1.831 |
| 2022-04-01 | 1.842
| 1.842 | 2022-04-08 | 1.869 | 1.869 |
| 2022-04-15 | 1.871 | 1.871 | 2022-04-22 | 1.826 | 1.826 |
2022-04-29
| 1.832 | 1.832 | 2022-05-06 | 1.787 | 1.787 |
| 2022-05-13 | 1.802 | 1.802 | 2022-05-20 | 1.828 | 1.828 |
| 2022-05-27 | 1.866 | 1.866 | 2022-05-31 | 1.843 | 1.843 |
| 2022-06-02 | 1.838 | 1.838 | 2022-06-10 | 1.864 | 1.864 |
| 2022-06-17 | 1.801
| 1.801 | 2022-06-24 | 1.787 | 1.787 |
| 2022-06-30 | 1.792
| 1.792 | 2022-07-01 | 1.8 | 1.8 |
| 2022-07-08 | 1.81 | 1.81 | 2022-07-15 | 1.813 | 1.813 |
| 2022-07-22 | 1.813
| 1.813 | 2022-07-29 | 1.797 | 1.797 |
2022-08-05
| 1.792 | 1.792 | 2022-08-12 | 1.849 | 1.849 |
2022-08-19
| 1.906 | 1.906 | 2022-08-26 | 1.952
| 1.952 |
2022-08-31
| 1.914 | 1.914 | 2022-09-02 | 1.916 | 1.916 |
| 2022-09-09 | 1.988 | 1.988 | 2022-09-16 | 1.939 | 1.939 |
| 2022-09-23 | 1.985 | 1.985 | 2022-09-30 | 1.926 | 1.926 |
2022-10-14
| 1.981 | 1.981 | 2022-10-21 | 1.961 | 1.961 |
2022-10-28
| 1.893 | 1.893 | 2022-11-04 | 1.908 | 1.908 |
| 2022-11-11 | 1.909 | 1.909 | 2022-11-18 | 1.909 | 1.909 |
2022-11-25
| 2.003 | 2.003 | 2022-11-30 | 2.052 | 2.052 |
2022-12-02
| 1.992 | 1.992 | 2022-12-09 | 1.998 | 1.998 |
2022-12-16
| 1.987 | 1.987 | 2022-12-23 | 1.986 | 1.986 |
2022-12-30
| 1.971 | 1.971 |
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2021年君之健翱翔稳进证券投资基金产品净值周报
| 日期
| 单位净值
| 累计单位净值
| 日期
| 单位净值
| 累计单位净值
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2021-01-08 |
1.598
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1.598 | 2021-01-15
| 1.675
| 1.675
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2021-01-22
| 1.674
| 1.674
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2021-01-29 |
1.631 |
1.631 |
2021-02-05
| 1.626
| 1.626
| 2021-02-10
| 1.618
| 1.618
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2021-02-19
| 1.756
| 1.756
| 2021-02-26
| 1.712
| 1.712
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2021-03-05 | 1.767
| 1.767
| 2021-03-12
|
1.778 |
1.778 |
2021-03-19
| 1.761
| 1.761
| 2021-03-26
| 1.756
| 1.756
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| 2021-03-31 | 1.781
| 1.781
| 2021-04-02
| 1.786
| 1.786
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2021-04-09
| 1.761
| 1.761
| 2021-04-16
| 1.761
| 1.761
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2021-04-23
| 1.764
| 1.764
| 2021-04-30
| 1.751
| 1.751
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2021-05-07
| 1.795
| 1.795
| 2021-05-14
| 1.749
| 1.749
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2021-05-21
| 1.732
| 1.732
| 2021-05-28
| 1.727
| 1.727
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2021-06-04
| 1.709
| 1.709
| 2021-06-11
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1.723
| 1.723
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2021-06-18
| 1.66
| 1.66
| 2021-06-25 | 1.826 | 1.826 |
| 2021-06-30 | 1.79 | 1.79 | 2021-07-02 | 1.767
| 1.767 |
| 2021-07-09 | 1.746 | 1.746 | 2021-07-16 | 1.799 | 1.799 |
| 2021-07-23 | 1.839
| 1.839 | 2021-07-30 | 1.834 | 1.834 |
| 2021-08-06 | 1.792 | 1.792 | 2021-08-13 | 1.886
| 1.886 |
| 2021-08-20 | 1.782 | 1.782 | 2021-08-27 | 1.842 | 1.842 |
| 2021-09-03 | 1.887 | 1.887 | 2021-09-10 | 1.967 | 1.967
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| 2021-09-17 | 1.890
| 1.890 | 2021-09-24 | 1.841 | 1.841
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| 2021-09-30 | 1.839 | 1.839 | 2021-10-08 | 1.827 | 1.827 |
| 2021-10-15 | 1.824 | 1.824 | 2021-10-22 | 1.812 | 1.812 |
| 2021-10-29 | 1.745 | 1.745 | 2021-11-05 | 1.653 | 1.653 |
| 2021-11-12 | 1.657 | 1.657 | 2021-11-19 | 1.655 | 1.655 |
| 2021-11-26 | 1.651 | 1.651 | 2021-12-03 | 1.679 | 1.679 |
| 2021-12-10 | 1.673 | 1.673 | 2021-12-17 | 1.697 | 1.697 |
| 2021-12-24 | 1.688 | 1.688 | 2021-12-31 | 1.682 | 1.682 |
2020年君之健翱翔稳进证券投资基金产品净值周报
| 日期
| 单位净值
| 累计单位净值
| 日期
| 单位净值
| 累计单位净值
|
|
2020-01-03 | 1.492
| 1.492
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2020-01-10 | 1.480
| 1.480
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2020-01-17 | 1.456
| 1.456
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2020-01-23 | 1.404
| 1.404
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2020-01-31 |
1.400 |
1.400 |
2020-02-07 |
1.388 |
1.388 |
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2020-02-14 | 1.421
| 1.421
| 2020-02-21
| 1.449
| 1.449
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2020-02-28 | 1.410
| 1.410
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2020-03-06 | 1.450
| 1.450
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2020-03-13 | 1.399
| 1.399
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2020-03-20 | 1.377
| 1.377
|
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2020-03-27 | 1.379
| 1.379
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2020-04-03
|
1.378 |
1.378 |
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2020-04-10 | 1.384
| 1.384
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2020-04-17 | 1.387
| 1.387
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2020-04-24 | 1.379
| 1.379
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2020-04-30 | 1.391
| 1.391
|
|
2020-05-08 | 1.384
| 1.384
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2020-05-15 | 1.374
| 1.374
|
|
2020-05-22 | 1.359
| 1.359
|
2020-05-29 | 1.363
| 1.363
|
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2020-06-05 | 1.377
| 1.377
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2020-06-12 | 1.369
| 1.369
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|
2020-06-19 | 1.390
| 1.390
|
2020-06-24 | 1.398
| 1.398
|
|
2020-07-03 | 1.479
| 1.479
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2020-07-10 | 1.554
| 1.554
|
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2020-07-17 | 1.505
| 1.505
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2020-07-24 | 1.509
| 1.509
|
|
2020-07-31 | 1.532
| 1.532
|
2020-08-07 | 1.539
| 1.539
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2020-08-14 | 1.537
| 1.537
|
2020-08-21 | 1.556
| 1.556
|
|
2020-08-28 | 1.552
| 1.552
|
2020-09-04 | 1.535
| 1.535
|
|
2020-09-11 | 1.515
| 1.515
|
2020-09-18 | 1.570
| 1.570
|
|
2020-09-25 | 1.491
| 1.491
|
2020-10-09 | 1.509
| 1.509
|
|
2020-10-16 | 1.539
| 1.539
|
2020-10-23 | 1.523
| 1.523
|
|
2020-10-30 | 1.494
| 1.494
|
2020-11-06 | 1.562
| 1.562
|
|
2020-11-13 | 1.571
| 1.571
|
2020-11-20 | 1.604
| 1.604
|
|
2020-11-27 | 1.638
| 1.638
|
2020-12-04 | 1.622
| 1.622
|
|
2020-12-11 | 1.558
| 1.558
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2020-12-18 | 1.565
| 1.565
|
2020-12-25
| 1.544
| 1.544
| 2020-12-31
| 1.556
| 1.556
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2019年君之健翱翔稳进证券投资基金产品净值周报
| 日期
| 单位净值
| 累计单位净值
| 日期
| 单位净值
| 累计单位净值
|
| 2019-01-04 |
1.232 |
1.232 |
2019-01-11 |
1.254 |
1.254 |
|
2019-01-18 |
1.255 |
1.255 |
2019-01-25 |
1.263 |
1.263 |
|
2019-02-01 |
1.272 |
1.272 |
2019-02-15 |
1.277 |
1.277 |
|
2019-02-22 |
1.318 |
1.318 |
2019-03-01 |
1.373 |
1.373 |
|
2019-03-08 |
1.337 |
1.337 |
2019-03-15 |
1.357 |
1.357 |
|
2019-03-22 |
1.389 |
1.389 |
2019-03-29 |
1.395 |
1.395 |
|
2019-04-04 |
1.467 |
1.467 |
2019-04-12 |
1.460 |
1.460 |
|
2019-04-19 |
1.481 |
1.481 |
2019-04-26
|
1.430 |
1.430 |
|
2019-04-30 |
1.442 |
1.442 |
2019-05-10 |
1.385 |
1.385 |
|
2019-05-17 |
1.374 |
1.374 |
2019-05-24 |
1.367 |
1.367 |
|
2019-05-31 |
1.371 |
1.371 |
2019-06-06 |
1.360 |
1.360 |
|
2019-06-14 |
1.365 |
1.365 |
2019-06-21 |
1.392 |
1.392 |
|
2019-06-28 |
1.385 |
1.385 |
2019-07-05 |
1.398 |
1.398 |
|
2019-07-12 |
1.380 |
1.380 |
2019-07-19 |
1.380 |
1.380 |
|
2019-07-26 |
1.416 |
1.416 |
2019-08-02 |
1.402 |
1.402 |
|
2019-08-09 |
1.383 |
1.383 |
2019-08-16 |
1.398 |
1.398 |
|
2019-08-23 |
1.407 |
1.407 |
2019-08-30 |
1.397 |
1.397 |
|
2019-09-06 |
1.417 |
1.417 |
2019-09-12 |
1.425 |
1.425 |
|
2019-09-20 |
1.409 |
1.409
|
2019-09-27 | 1.391
| 1.391
|
|
2019-10-11 | 1.403
| 1.403
| 2019-10-18 | 1.393
| 1.393
|
|
2019-10-25 | 1.392
| 1.392
|
2019-11-01 | 1.394
| 1.394
|
|
2019-11-08 | 1.400
| 1.400
|
2019-11-15 | 1.374
| 1.374
|
|
2019-11-22 | 1.383
| 1.383
|
2019-11-29 | 1.389
| 1.389
|
|
2019-12-06 | 1.398
| 1.398
|
2019-12-13 | 1.425
| 1.425
|
|
2019-12-20 | 1.444
| 1.444
|
2019-12-27 | 1.450
| 1.450
|
|
2019-12-31 | 1.475
| 1.475
|
|
|
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| 日期
| 单位净值
| 累计单位净值
| 日期
| 单位净值
| 累计单位净值
|
|
2018-01-05 |
1.256 |
1.256 |
2018-01-12 |
1.278 |
1.278 |
2018-01-19
|
1.321
|
1.321
|
2018-01-26 |
1.362 |
1.362 |
|
2018-02-02 |
1.325 |
1.325 |
2018-02-09 |
1.289 |
1.289 |
|
2018-02-14 |
1.285 |
1.285 |
2018-02-23 |
1.293
|
1.293 |
|
2018-03-02 |
1.286 |
1.286 |
2018-03-09 |
1.285 |
1.285 |
|
2018-03-16 |
1.280
|
1.280 |
2018-03-23 |
1.266 |
1.266 |
|
2018-03-30 |
1.265 |
1.265 |
2018-04-04 |
1.259 |
1.259 |
|
2018-04-13 |
1.264 |
1.264 |
2018-04-20 |
1.253 |
1.253 |
|
2018-04-27 |
1.252 |
1.252
|
2018-05-04 |
1.268 |
1.268 |
|
2018-05-11 |
1.279 |
1.279 |
2018-05-18 |
1.288 |
1.288 |
|
2018-05-25 |
1.276 |
1.276 |
2018-06-01 |
1.275 |
1.275 |
|
2018-06-08 |
1.269 |
1.269 |
2018-06-15
|
1.262
|
1.262
|
|
2018-06-22 |
1.262 |
1.262 |
2018-06-29 |
1.259 |
1.259 |
|
2018-07-06 |
1.251 |
1.251 |
2018-07-13 |
1.254 |
1.254 |
|
2018-07-20 |
1.260 |
1.260 |
2018-07-27 |
1.267 |
1.267 |
|
2018-08-03 |
1.259 |
1.259 |
2018-08-10 |
1.259 |
1.259 |
|
2018-08-17 |
1.247 |
1.247 |
2018-08-24 |
1.245 |
1.245 |
|
2018-08-31 |
1.240 |
1.240 |
2018-09-07 |
1.237 |
1.237 |
|
2018-09-14 |
1.237 |
1.237 |
2018-09-21 |
1.25 |
1.25 |
|
2018-09-28 |
1.255 |
1.255 |
2018-10-12 |
1.225 |
1.225 |
|
2018-10-19 |
1.229 |
1.229 |
2018-10-26 |
1.228 |
1.228 |
|
2018-11-02 |
1.242 |
1.242 |
2018-11-09 |
1.228 |
1.228 |
|
2018-11-16 |
1.240 |
1.240 |
2018-11-23 |
1.228 |
1.228 |
|
2018-11-30 |
1.229 |
1.229 |
2018-12-07 |
1.229 |
1.229 |
|
2018-12-14 |
1.228 |
1.228 |
2018-12-21 |
1.223 |
1.223 |
|
2018-12-28 |
1.226 |
1.226 |
|
|
|
2017年君之健翱翔稳进证券投资基金产品净值周报
| 日期
| 单位净值
| 累计单位净值
| 日期
| 单位净值
| 累计单位净值
|
| 2017-01-06 | 1.138 | 1.138 | 2017-01-13 | 1.134 | 1.134 |
| 2017-01-20 | 1.137 | 1.137 | 2017-01-26 | 1.138 | 1.138 |
| 2017-02-03 | 1.132 | 1.132 | 2017-02-10
| 1.138
| 1.138
|
| 2017-02-17 | 1.137 | 1.137 | 2017-02-24 | 1.143 | 1.143 |
| 2017-03-03 | 1.131 | 1.131 | 2017-03-10 | 1.131 | 1.131 |
| 2017-03-17 | 1.140 | 1.140 | 2017-03-24 | 1.158 | 1.158 |
| 2017-03-31 | 1.151 | 1.151 | 2017-04-07 | 1.173 | 1.173 |
| 2017-04-14 | 1.170 | 1.170 | 2017-04-21 | 1.159 | 1.159 |
| 2017-04-28 | 1.164 | 1.164 | 2017-05-05 | 1.159 | 1.159 |
2017-05-12
|
1.161 |
1.161 |
2017-05-19 |
1.162 |
1.162 |
|
2017-05-26 |
1.163 |
1.163 |
2017-06-02 |
1.162 |
1.162 |
|
2017-06-09 |
1.166 |
1.166 |
2017-06-16 |
1.157 |
1.157 |
2017-06-23
|
1.162 |
1.162 |
2017-06-30
|
1.170 |
1.170 |
|
2017-07-07 |
1.179
|
1.179 |
2017-07-14 |
1.195 |
1.195 |
|
2017-07-21 |
1.220 |
1.220 |
2017-07-28 |
1.209
|
1.209 |
2017-08-04
|
1.201 |
1.201 |
2017-08-11 |
1.182 |
1.182 |
|
2017-08-18 |
1.192 |
1.192 |
2017-08-25 |
1.200 |
1.200 |
|
2017-09-01 |
1.202 |
1.202 |
2017-09-08 |
1.195 |
1.195 |
|
2017-09-15 |
1.188 |
1.188 |
2017-09-22 |
1.189 |
1.189 |
|
2017-09-29 |
1.186 |
1.186 |
2017-10-13 |
1.203 |
1.203 |
|
2017-10-20 |
1.216 |
1.216 |
2017-10-27 |
1.222 |
1.222 |
|
2017-11-03 |
1.204 |
1.204 |
2017-11-10
|
1.225 |
1.225 |
|
2017-11-17 |
1.216 |
1.216 |
2017-11-24 |
1.234 |
1.234 |
|
2017-12-01 |
1.214 |
1.214 |
2017-12-08 |
1.209 |
1.209 |
|
2017-12-15 |
1.209 |
1.209 |
2017-12-22 |
1.218 |
1.218 |
|
2017-12-29 |
1.223 |
1.223 |
|
|
|
2016年君之健翱翔稳进证券投资基金产品净值周报
君之健翱翔稳进证券投资基金净值走势图
