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基金凈值
 
創金合信中證1000指數增強A 003646
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1819 條記錄    每頁 30 條    頁次:59 / 61   
凈值日期單位凈值(元)累計凈值(元)
2017-04-20 0.966100000.96610000
2017-04-19 0.971100000.97110000
2017-04-18 0.984500000.98450000
2017-04-17 0.993600000.99360000
2017-04-14 1.004900001.00490000
2017-04-13 1.020100001.02010000
2017-04-12 1.016300001.01630000
2017-04-11 1.021600001.02160000
2017-04-10 1.011100001.01110000
2017-04-07 1.015300001.01530000
2017-04-06 1.012200001.01220000
2017-04-05 1.010900001.01090000
2017-03-31 0.991200000.99120000
2017-03-30 0.985800000.98580000
2017-03-29 1.002700001.00270000
2017-03-28 1.009700001.00970000
2017-03-27 1.011900001.01190000
2017-03-24 1.016000001.01600000
2017-03-23 1.013400001.01340000
2017-03-22 1.013200001.01320000
2017-03-21 1.018700001.01870000
2017-03-20 1.016300001.01630000
2017-03-17 1.012000001.01200000
2017-03-16 1.018900001.01890000
2017-03-15 1.009600001.00960000
2017-03-14 1.009700001.00970000
2017-03-13 1.009900001.00990000
2017-03-10 1.002500001.00250000
2017-03-09 1.000900001.00090000
2017-03-08 1.007100001.00710000
1819 條記錄    每頁 30 條    頁次:59 / 61   
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