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基金凈值
 
招商可轉債債券進取 150189
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凈值日期單位凈值(元)累計凈值(元)
2020-11-04 1.233000001.99700000
2020-11-03 1.223000001.98700000
2020-11-02 1.207000001.97100000
2020-10-30 1.202000001.96600000
2020-10-29 1.239000002.00300000
2020-10-28 1.239000002.00300000
2020-10-27 1.229000001.99300000
2020-10-26 1.212000001.97600000
2020-10-23 1.225000001.98900000
2020-10-22 1.255000002.01900000
2020-10-21 1.258000002.02200000
2020-10-20 1.261000002.02500000
2020-10-19 1.245000002.00900000
2020-10-16 1.255000002.01900000
2020-10-15 1.264000002.02800000
2020-10-14 1.274000002.03800000
2020-10-13 1.284000002.04800000
2020-10-12 1.270000002.03400000
2020-10-09 1.240000002.00400000
2020-09-30 1.203000001.96700000
2020-09-29 1.186000001.95000000
2020-09-28 1.162000001.92600000
2020-09-25 1.165000001.92900000
2020-09-24 1.172000001.93600000
2020-09-23 1.198000001.96200000
2020-09-22 1.195000001.95900000
2020-09-21 1.212000001.97600000
2020-09-18 1.221000001.98500000
2020-09-17 1.211000001.97500000
2020-09-16 1.214000001.97800000
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