易方达医疗保健行业混合110023今天基金净值
今天盘中估算:3.8024 -1.21%单位净值(04-02): 3.8490 ( 0.34% ) 交易状态:开放申购 开放赎回 购买手续费: 1.50% 0.15% 1折 成立日期:2011-01-28 基金经理: 杨桢霄 类型:混合型 管理人:易方达基金 资产规模: 53.10亿元 (截止至:12-31)
易方达医疗保健行业混合110023基金净值走势图
易方达医疗保健行业混合110023基金历史净值明细
日期时间 | 单位净值七日年化收益率 | 累计净值万份收益 |
20210402 | 3.849 | 3.849 |
|
20210401 | 3.836 | 3.836 |
|
20210331 | 3.718 | 3.718 |
|
20210330 | 3.774 | 3.774 |
|
20210329 | 3.683 | 3.683 |
|
20210326 | 3.701 | 3.701 |
|
20210325 | 3.58 | 3.58 |
|
20210324 | 3.534 | 3.534 |
|
20210323 | 3.541 | 3.541 |
|
20210322 | 3.539 | 3.539 |
|
20210319 | 3.492 | 3.492 |
|
20210318 | 3.59 | 3.59 |
|
20210317 | 3.507 | 3.507 |
|
20210316 | 3.481 | 3.481 |
|
20210315 | 3.43 | 3.43 |
|
20210312 | 3.588 | 3.588 |
|
20210311 | 3.574 | 3.574 |
|
20210310 | 3.495 | 3.495 |
|
20210309 | 3.402 | 3.402 |
|
20210308 | 3.497 | 3.497 |
|
20210305 | 3.714 | 3.714 |
|
20210304 | 3.702 | 3.702 |
|
20210303 | 3.879 | 3.879 |
|
20210302 | 3.82 | 3.82 |
|
20210301 | 3.904 | 3.904 |
|
20210226 | 3.866 | 3.866 |
|
20210225 | 3.952 | 3.952 |
|
20210224 | 3.948 | 3.948 |
|
20210223 | 4.096 | 4.096 |
|
20210222 | 4.104 | 4.104 |
|
20210219 | 4.297 | 4.297 |
|
20210218 | 4.284 | 4.284 |
|
20210210 | 4.52 | 4.52 |
|
20210209 | 4.418 | 4.418 |
|
20210208 | 4.346 | 4.346 |
|
20210205 | 4.275 | 4.275 |
|
20210204 | 4.16 | 4.16 |
|
20210203 | 4.229 | 4.229 |
|
20210202 | 4.207 | 4.207 |
|
20210201 | 4.165 | 4.165 |
|
20210129 | 4.072 | 4.072 |
|
20210128 | 4.108 | 4.108 |
|
20210127 | 4.228 | 4.228 |
|
20210126 | 4.23 | 4.23 |
|
20210125 | 4.373 | 4.373 |
|
20210122 | 4.324 | 4.324 |
|
20210121 | 4.101 | 4.101 |
|
20210120 | 4.017 | 4.017 |
|
20210119 | 3.892 | 3.892 |
|
20210118 | 3.984 | 3.984 |
易方达医疗保健行业混合110023基金季/年度涨幅图
易方达医疗保健行业混合110023年度的基金持仓股票一览