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
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