君之健翱翔价值2号证券投资基金
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: 2020-03-17
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1618 次浏览
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分享到:
君之健翱翔价值2号证券投资基金于2016年2月19日成立运作。
2020年君之健翱翔价值2号证券投资基金产品净值周报
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日期
|
单位净值
|
累计单位净值
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日期
|
单位净值
|
累计单位净值
|
|
2020-01-03
|
1.265
|
1.420
|
2020-01-10
|
1.253
|
1.408
|
|
2020-01-17
|
1.229
|
1.384
|
2020-01-23
|
1.189
|
1.344
|
|
2020-01-31
|
1.189
|
1.344
|
2020-02-07
|
1.181
|
1.336
|
|
2020-02-14
|
1.210
|
1.365
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2020-02-21
|
1.236
|
1.391
|
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2020-02-28
|
1.211
|
1.366
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2020-03-06
|
1.246
|
1.401
|
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2020-03-13
|
1.201
|
1.356
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|
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2019年君之健翱翔价值2号证券投资基金产品净值周报
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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
|
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2019-01-04
|
1.067
|
1.222
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2019-01-11
|
1.086
|
1.241
|
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2019-01-18
|
1.087
|
1.242
|
2019-01-25
|
1.093
|
1.248
|
|
2019-02-01
|
1.100
|
1.255
|
2019-02-15
|
1.103
|
1.258
|
|
2019-02-22
|
1.138
|
1.293
|
2019-03-01
|
1.188
|
1.343
|
|
2019-03-08
|
1.161
|
1.316
|
2019-03-15
|
1.178
|
1.333
|
|
2019-03-22
|
1.207
|
1.362
|
2019-03-29
|
1.211
|
1.366
|
|
2019-04-04
|
1.271
|
1.426
|
2019-04-12
|
1.263
|
1.418
|
|
2019-04-19
|
1.279
|
1.434
|
2019-04-26
|
1.236
|
1.391
|
|
2019-04-30
|
1.247
|
1.402
|
2019-05-10
|
1.199
|
1.354
|
|
2019-05-17
|
1.190
|
1.345
|
2019-05-24
|
1.183
|
1.338
|
|
2019-05-31
|
1.186
|
1.341
|
2019-06-06
|
1.177
|
1.332
|
|
2019-06-14
|
1.180
|
1.335
|
2019-06-21
|
1.202
|
1.357
|
|
2019-06-28
|
1.197
|
1.352
|
2019-07-05
|
1.207
|
1.362
|
|
2019-07-12
|
1.190
|
1.345
|
2019-07-19
|
1.191
|
1.346
|
|
2019-07-26
|
1.241
|
1.396
|
2019-08-02
|
1.241
|
1.396
|
|
2019-08-09
|
1.207
|
1.362
|
2019-08-16
|
1.210
|
1.365
|
|
2019-08-23
|
1.214
|
1.369
|
2019-08-30
|
1.206
|
1.361
|
|
2019-09-06
|
1.220
|
1.375
|
2019-09-12
|
1.225
|
1.380
|
|
2019-09-20
|
1.211
|
1.366
|
2019-09-27
|
1.194
|
1.349
|
|
2019-10-11
|
1.202
|
1.357
|
2019-10-18
|
1.194
|
1.349
|
|
2019-10-25
|
1.195
|
1.350
|
2019-11-01
|
1.192
|
1.347
|
|
2019-11-08
|
1.194
|
1.349
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2019-11-15
|
1.175
|
1.330
|
|
2019-11-22
|
1.181
|
1.336
|
2019-11-29
|
1.183
|
1.338
|
|
2019-12-06
|
1.184
|
1.339
|
2019-12-13
|
1.204
|
1.359
|
|
2019-12-20
|
1.219
|
1.374
|
2019-12-27
|
1.223
|
1.378
|
|
2019-12-31
|
1.247
|
1.402
|
|
|
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2018年君之健翱翔价值2号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
|
|
2018-01-05
|
1.077
|
1.232
|
2018-01-12
|
1.087
|
1.242
|
2018-01-19
|
1.122
|
1.277
|
2018-01-26
|
1.155
|
1.310
|
|
2018-02-02
|
1.124
|
1.279
|
2018-02-09
|
1.108
|
1.108
|
|
2018-02-14
|
1.099
|
1.254
|
2018-02-23
|
1.103
|
1.258
|
|
2018-03-02
|
1.101
|
1.256
|
2018-03-09
|
1.100
|
1.255
|
|
2018-03-16
|
1.096
|
1.251
|
2018-03-23
|
1.081
|
1.236
|
|
2018-03-30
|
1.084
|
1.239
|
2018-04-04
|
1.081
|
1.236
|
|
2018-04-13
|
1.085
|
1.240
|
2018-04-20
|
1.079
|
1.234
|
|
2018-04-27
|
1.078
|
1.233
|
2018-05-04
|
1.092
|
1.247
|
|
2018-05-11
|
1.099
|
1.254
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2018-05-18
|
1.107
|
1.262
|
|
2018-05-25
|
1.099
|
1.254
|
2018-06-01
|
1.099
|
1.254
|
|
2018-06-08
|
1.094
|
1.249
|
2018-06-15
|
1.087
|
1.242
|
|
2018-06-22
|
1.087
|
1.242
|
2018-06-29
|
1.085
|
1.240
|
|
2018-07-06
|
1.080
|
1.235
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2018-07-13
|
1.083
|
1.238
|
|
2018-07-20
|
1.088
|
1.243
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2018-07-27
|
1.094
|
1.249
|
|
2018-08-03
|
1.088
|
1.243
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2018-08-10
|
1.088
|
1.243
|
|
2018-08-17
|
1.077
|
1.232
|
2018-08-24
|
1.075
|
1.230
|
|
2018-08-31
|
1.070
|
1.225
|
2018-09-07
|
1.067
|
1.222
|
|
2018-09-14
|
1.066
|
1.221
|
2018-09-21
|
1.077
|
1.232
|
|
2018-09-28
|
1.082
|
1.237
|
2018-10-12
|
1.057
|
1.212
|
|
2018-10-19
|
1.062
|
1.217
|
2018-10-26
|
1.062
|
1.217
|
|
2018-11-02
|
1.073
|
1.228
|
2018-11-09
|
1.061
|
1.216
|
|
2018-11-16
|
1.070
|
1.225
|
2018-11-23
|
1.061
|
1.216
|
|
2018-11-30
|
1.062
|
1.217
|
2018-12-07
|
1.062
|
1.217
|
|
2018-12-14
|
1.061
|
1.216
|
2018-12-21
|
1.058
|
1.213
|
|
2018-12-28
|
1.062
|
1.217
|
|
|
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2017年君之健翱翔价值2号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
|
1.137
|
1.137
|
2017-01-13
|
1.133
|
1.133
|
|
2017-01-20
|
1.135
|
1.135
|
2017-01-26
|
1.137
|
1.137
|
|
2017-02-03
|
1.131
|
1.131
|
2017-02-10
|
1.137
|
1.137
|
|
2017-02-17
|
1.136
|
1.136
|
2017-02-24
|
1.143
|
1.143
|
|
2017-03-03
|
1.131
|
1.131
|
2017-03-10
|
1.131
|
1.131
|
|
2017-03-17
|
1.136
|
1.136
|
2017-03-24
|
1.156
|
1.156
|
|
2017-03-31
|
1.149
|
1.149
|
2017-04-07
|
1.171
|
1.171
|
|
2017-04-14
|
1.169
|
1.169
|
2017-04-21
|
1.158
|
1.158
|
|
2017-04-28
|
1.162
|
1.162
|
2017-05-05
|
1.158
|
1.158
|
|
2017-05-12
|
1.160
|
1.160
|
2017-05-19
|
1.160
|
1.160
|
|
2017-05-26
|
1.162
|
1.162
|
2017-06-02
|
1.161
|
1.161
|
|
2017-06-09
|
1.164
|
1.164
|
2017-06-16
|
1.156
|
1.156
|
|
2017-06-20
(分红确认日)
|
1.003
|
1.158
|
2017-06-23
|
1.006
|
1.161
|
|
2017-06-30
|
1.013
|
1.168
|
2017-07-07
|
1.021
|
1.176
|
2017-07-14
|
1.034
|
1.189
|
2017-07-21
|
1.055
|
1.210
|
|
2017-07-28
|
1.049
|
1.204
|
2017-08-04
|
1.041
|
1.196
|
|
2017-08-11
|
1.026
|
1.181
|
2017-08-18
|
1.035
|
1.190
|
|
2017-08-25
|
1.041
|
1.196
|
2017-09-01
|
1.039
|
1.194
|
|
2017-09-08
|
1.036
|
1.191
|
2017-09-15
|
1.029
|
1.184
|
|
2017-09-22
|
1.030
|
1.185
|
2017-09-29
|
1.030
|
1.185
|
|
2017-10-13
|
1.042
|
1.197
|
2017-10-20
|
1.051
|
1.206
|
|
2017-10-27
|
1.055
|
1.210
|
2017-11-03
|
1.039
|
1.194
|
|
2017-11-10
|
1.054
|
1.209
|
2017-11-17
|
1.048
|
1.203
|
|
2017-11-24
|
1.060
|
1.215
|
2017-12-01
|
1.047
|
1.202
|
|
2017-12-08
|
1.042
|
1.197
|
2017-12-15
|
1.041
|
1.196
|
|
2017-12-22
|
1.049
|
1.204
|
2017-12-29
|
1.051
|
1.206
|
2016年君之健翱翔价值2号证券投资基金产品净值周报