同公司旗下基金_

同公司旗下基金

来源:

  日期   单位净值   累计净值   增长率   2022-10-28   1.0344   1.5163   2022-10-27   1.061

同公司旗下基金
同公司旗下基金

  日期

  单位净值

  累计净值

  增长率

  2022-10-28

  1.0344

  1.5163

  2022-10-27

  1.0614

  1.5537

  2022-10-26

  1.0883

  1.5911

  2022-10-25

  1.0688

  1.5640

  2022-10-24

  1.0624

  1.5551

  2022-10-21

  1.0544

  1.5440

  2022-10-20

  1.0507

  1.5389

  2022-10-19

  1.0655

  1.5594

  2022-10-18

  1.0808

  1.5807

  2022-10-17

  1.0833

  1.5841

  2022-10-14

  1.0828

  1.5834

  2022-10-13

  1.0569

  1.5475

  2022-10-12

  1.0618

  1.5543

  2022-10-11

  1.0290

  1.5088

  2022-10-10

  1.0244

  1.5024

  2022-09-30

  1.0740

  1.5712

  2022-09-29

  1.1160

  1.6295

  2022-09-28

  1.1070

  1.6170

  2022-09-27

  1.1495

  1.6760

  2022-09-26

  1.1542

  1.6825

  2022-09-23

  1.1301

  1.6491

  2022-09-22

  1.1791

  1.7171

  2022-09-21

  1.1775

  1.7149

  2022-09-20

  1.1830

  1.7225

  2022-09-19

  1.1605

  1.6913

  2022-09-16

  1.1693

  1.7035

  2022-09-15

  1.1803

  1.7188

  2022-09-14

  1.2424

  1.8050

  2022-09-13

  1.2602

  1.8297

  2022-09-09

  1.2533

  1.8201

  2022-09-08

  1.2726

  1.8469

  2022-09-07

  1.3031

  1.8892

  2022-09-06

  1.2645

  1.8356

  2022-09-05

  1.2229

  1.7779

  2022-09-02

  1.2392

  1.8005

  2022-09-01

  1.1985

  1.7440

  2022-08-31

  1.2068

  1.7555

  2022-08-30

  1.2650

  1.8363

  2022-08-29

  1.2889

  1.8695

  2022-08-26

  1.2697

  1.8428

  2022-08-25

  1.2908

  1.8721

  2022-08-24

  1.3074

  1.8952

  2022-08-23

  1.3854

  2.0034

  2022-08-22

  1.3846

  2.0023

  2022-08-19

  1.3992

  2.0226

  2022-08-18

  1.4633

  2.1116

  2022-08-17

  1.4028

  2.0276

  2022-08-16

  1.4082

  2.0351

  2022-08-15

  1.4006

  2.0245

  2022-08-12

  1.3805

  1.9966

  2022-08-11

  1.4220

  2.0542

  2022-08-10

  1.4262

  2.0601

  2022-08-09

  1.3979

  2.0208

  2022-08-08

  1.3919

  2.0125

  2022-08-05

  1.3593

  1.9672

  2022-08-04

  1.3563

  1.9630

  2022-08-03

  1.3627

  1.9719

  2022-08-02

  1.3928

  2.0137

  2022-08-01

  1.3944

  2.0159

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