基金净值列表
| 日期 |
基金净值(元) |
累计净值(元) |
|
|
| 2009-05-11 |
0.741 |
2.871 |
| 2009-05-08 |
0.754 |
2.884 |
| 2009-05-07 |
0.751 |
2.881 |
| 2009-05-06 |
0.754 |
2.884 |
| 2009-05-05 |
0.747 |
2.877 |
| 2009-05-04 |
0.741 |
2.871 |
| 2009-04-30 |
0.727 |
2.857 |
| 2009-04-29 |
0.721 |
2.851 |
| 2009-04-28 |
0.706 |
2.836 |
| 2009-04-27 |
0.705 |
2.835 |
| 2009-04-24 |
0.715 |
2.845 |
| 2009-04-23 |
0.718 |
2.848 |
| 2009-04-22 |
0.715 |
2.845 |
| 2009-04-21 |
0.729 |
2.859 |
| 2009-04-20 |
0.735 |
2.865 |
| 2009-04-17 |
0.728 |
2.858 |
| 2009-04-16 |
0.732 |
2.862 |
| 2009-04-15 |
0.732 |
2.862 |
| 2009-04-14 |
0.728 |
2.858 |
| 2009-04-13 |
0.722 |
2.852 |
|
|
|