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基金凈值
 
財通純債分級債券B 000499
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凈值日期單位凈值(元)累計凈值(元)
2016-01-18 1.000000001.35200000
2016-01-15 1.352000001.35200000
2016-01-14 1.351000001.35100000
2016-01-13 1.350000001.35000000
2016-01-12 1.349000001.34900000
2016-01-11 1.348000001.34800000
2016-01-08 1.347000001.34700000
2016-01-07 1.346000001.34600000
2016-01-06 1.345000001.34500000
2016-01-05 1.345000001.34500000
2016-01-04 1.344000001.34400000
2015-12-31 1.345000001.34500000
2015-12-30 1.344000001.34400000
2015-12-29 1.343000001.34300000
2015-12-28 1.342000001.34200000
2015-12-25 1.341000001.34100000
2015-12-24 1.341000001.34100000
2015-12-23 1.341000001.34100000
2015-12-22 1.341000001.34100000
2015-12-21 1.340000001.34000000
2015-12-18 1.339000001.33900000
2015-12-17 1.338000001.33800000
2015-12-16 1.338000001.33800000
2015-12-15 1.338000001.33800000
2015-12-14 1.337000001.33700000
2015-12-11 1.337000001.33700000
2015-12-10 1.337000001.33700000
2015-12-09 1.337000001.33700000
2015-12-08 1.337000001.33700000
2015-12-07 1.336000001.33600000
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