·泰康投连险首页·

泰康积极成长型投资账户
近60日净值
产品净值和大盘涨跌对比图
开始日期:
结束日期:
日期名称净值涨跌
累计
涨跌
2021-5-14积极成长型投资账户6.3090.9392%0.00%
2021-5-13积极成长型投资账户6.2503-1.3495%0.94%
2021-5-12积极成长型投资账户6.33580.7073%-0.42%
2021-5-11积极成长型投资账户6.2913-0.5422%0.28%
2021-5-10积极成长型投资账户6.3256-0.3105%-0.26%
2021-5-7积极成长型投资账户6.3453-1.8894%-0.57%
2021-5-6积极成长型投资账户6.4675-0.5321%-2.45%
2021-4-30积极成长型投资账户6.5021-1.1734%-2.97%
2021-4-29积极成长型投资账户6.57930.3141%-4.11%
2021-4-28积极成长型投资账户6.5587-0.1735%-3.81%
2021-4-27积极成长型投资账户6.57010.3559%-3.97%
2021-4-26积极成长型投资账户6.5468-1.3769%-3.63%
2021-4-23积极成长型投资账户6.63820.9735%-4.96%
2021-4-22积极成长型投资账户6.5742-1.4880%-4.03%
2021-4-21积极成长型投资账户6.6735-0.2049%-5.46%
2021-4-20积极成长型投资账户6.6872-0.4021%-5.66%
2021-4-19积极成长型投资账户6.71422.0690%-6.03%
2021-4-16积极成长型投资账户6.57811.1455%-4.09%
2021-4-15积极成长型投资账户6.5036-0.5855%-2.99%
2021-4-14积极成长型投资账户6.54191.2662%-3.56%
2021-4-13积极成长型投资账户6.46010.0124%-2.34%
2021-4-12积极成长型投资账户6.4593-1.7582%-2.33%
2021-4-9积极成长型投资账户6.5749-1.1026%-4.04%
2021-4-8积极成长型投资账户6.6482-0.1067%-5.10%
2021-4-7积极成长型投资账户6.6553-1.0217%-5.20%
2021-4-6积极成长型投资账户6.724-0.1737%-6.17%
2021-4-2积极成长型投资账户6.73570.7735%-6.33%
2021-4-1积极成长型投资账户6.6842.0006%-5.61%
2021-3-31积极成长型投资账户6.5529-1.1286%-3.72%
2021-3-30积极成长型投资账户6.62771.0212%-4.81%
2021-3-29积极成长型投资账户6.5607-0.4340%-3.84%
2021-3-26积极成长型投资账户6.58932.4456%-4.25%
2021-3-25积极成长型投资账户6.4320.3918%-1.91%
2021-3-24积极成长型投资账户6.4069-1.5973%-1.53%
2021-3-23积极成长型投资账户6.5109-1.0982%-3.10%
2021-3-22积极成长型投资账户6.58320.7823%-4.17%
2021-3-19积极成长型投资账户6.5321-2.2974%-3.42%
2021-3-18积极成长型投资账户6.68570.6019%-5.63%
2021-3-17积极成长型投资账户6.64570.0828%-5.07%
2021-3-16积极成长型投资账户6.64021.2287%-4.99%
2021-3-15积极成长型投资账户6.5596-1.4661%-3.82%
2021-3-12积极成长型投资账户6.6572-0.6418%-5.23%
2021-3-11积极成长型投资账户6.70022.0221%-5.84%
2021-3-10积极成长型投资账户6.56741.1739%-3.93%
2021-3-9积极成长型投资账户6.4912-0.7249%-2.81%
2021-3-8积极成长型投资账户6.5386-3.6173%-3.51%
2021-3-5积极成长型投资账户6.7840.1580%-7.00%
2021-3-4积极成长型投资账户6.7733-3.0780%-6.85%
2021-3-3积极成长型投资账户6.98842.1009%-9.72%
2021-3-2积极成长型投资账户6.8446-1.5760%-7.83%
2021-3-1积极成长型投资账户6.95421.5924%-9.28%
2021-2-26积极成长型投资账户6.8452-2.7574%-7.83%
2021-2-25积极成长型投资账户7.03930.7197%-10.37%
2021-2-24积极成长型投资账户6.989-3.1377%-9.73%
2021-2-23积极成长型投资账户7.2154-0.5856%-12.56%
2021-2-22积极成长型投资账户7.2579-3.5328%-13.07%
2021-2-19积极成长型投资账户7.5237-0.2387%-16.14%
2021-2-18积极成长型投资账户7.5417-1.1223%-16.35%
2021-2-10积极成长型投资账户7.62732.1345%-17.28%
2021-2-9积极成长型投资账户7.46791.0514%-15.52%
2021-2-8积极成长型投资账户7.39021.9324%-14.63%
2021-2-5积极成长型投资账户7.25010.1976%-12.98%
2021-2-4积极成长型投资账户7.2358-0.4458%-12.81%
2021-2-3积极成长型投资账户7.2682-0.9134%-13.20%
2021-2-2积极成长型投资账户7.33522.7497%-13.99%
2021-2-1积极成长型投资账户7.13890.6414%-11.63%
2021-1-29积极成长型投资账户7.0934-0.4589%-11.06%
2021-1-28积极成长型投资账户7.1261-2.6476%-11.47%
2021-1-27积极成长型投资账户7.3199-1.2945%-13.81%
2021-1-26积极成长型投资账户7.4159-2.3350%-14.93%
2021-1-25积极成长型投资账户7.59323.4017%-16.91%
2021-1-22积极成长型投资账户7.3434-0.2052%-14.09%
2021-1-21积极成长型投资账户7.35850.4807%-14.26%
2021-1-20积极成长型投资账户7.32330.7636%-13.85%
2021-1-19积极成长型投资账户7.2678-0.1854%-13.19%
2021-1-18积极成长型投资账户7.28130.9147%-13.35%
2021-1-15积极成长型投资账户7.2153-0.1771%-12.56%
2021-1-14积极成长型投资账户7.2281-2.1987%-12.72%
2021-1-13积极成长型投资账户7.3906-0.7747%-14.63%
2021-1-12积极成长型投资账户7.44832.5372%-15.30%
2021-1-11积极成长型投资账户7.2640.7811%-13.15%
2021-1-8积极成长型投资账户7.20770.9143%-12.47%
2021-1-7积极成长型投资账户7.14242.1919%-11.67%
2021-1-6积极成长型投资账户6.98920.4802%-9.73%
2021-1-5积极成长型投资账户6.9558-0.1192%-9.30%
2021-1-4积极成长型投资账户6.96410.6853%-9.41%
2020-12-31积极成长型投资账户6.91671.5847%-8.79%
2020-12-30积极成长型投资账户6.80882.7263%-7.34%
2020-12-29积极成长型投资账户6.6281-0.5103%-4.81%
2020-12-28积极成长型投资账户6.66211.2339%-5.30%
2020-12-25积极成长型投资账户6.58090.5424%-4.13%
2020-12-24积极成长型投资账户6.5454-0.3077%-3.61%
2020-12-23积极成长型投资账户6.56562.1438%-3.91%
2020-12-22积极成长型投资账户6.4278-1.2020%-1.85%
2020-12-21积极成长型投资账户6.5061.4312%-3.03%
2020-12-18积极成长型投资账户6.41420.2720%-1.64%
2020-12-17积极成长型投资账户6.39681.0298%-1.37%
2020-12-16积极成长型投资账户6.33160.5958%-0.36%
2020-12-15积极成长型投资账户6.29410.2724%0.24%
2020-12-14积极成长型投资账户6.2771.4071%0.51%
2020-12-11积极成长型投资账户6.18990.1035%1.92%
2020-12-10积极成长型投资账户6.1835-0.4091%2.03%
2020-12-9积极成长型投资账户6.2089-1.2925%1.61%
2020-12-8积极成长型投资账户6.29020.5290%0.30%
2020-12-7积极成长型投资账户6.2571-0.9467%0.83%
2020-12-4积极成长型投资账户6.31690.2969%-0.13%
2020-12-3积极成长型投资账户6.2982-0.2960%0.17%
2020-12-2积极成长型投资账户6.3169-0.7526%-0.13%
2020-12-1积极成长型投资账户6.36481.8661%-0.88%
2020-11-30积极成长型投资账户6.2482-0.8096%0.97%
2020-11-27积极成长型投资账户6.29920.8195%0.16%
2020-11-26积极成长型投资账户6.2480.3663%0.98%
2020-11-25积极成长型投资账户6.2252-0.7082%1.35%
2020-11-24积极成长型投资账户6.2696-0.4003%0.63%
2020-11-23积极成长型投资账户6.29480.8039%0.23%
2020-11-20积极成长型投资账户6.24461.4953%1.03%
2020-11-19积极成长型投资账户6.15260.1954%2.54%
2020-11-18积极成长型投资账户6.1406-0.2631%2.74%
2020-11-17积极成长型投资账户6.1568-0.3415%2.47%
2020-11-16积极成长型投资账户6.17790.7830%2.12%
合计统计->(开始日期:2020-11-16净值:6.1779) (结束日期:2021-5-14净值:6.309) 期间涨幅:2.1221%
[泰康投连险推广站-买投连险选泰康]