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基金凈值
 
華夏粵港澳大灣區創新100ETF聯接A 008199
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凈值日期單位凈值(元)累計凈值(元)
2023-03-17 1.027000001.02700000
2023-03-16 1.020100001.02010000
2023-03-15 1.029800001.02980000
2023-03-14 1.026000001.02600000
2023-03-13 1.038400001.03840000
2023-03-10 1.027100001.02710000
2023-03-09 1.042400001.04240000
2023-03-08 1.046700001.04670000
2023-03-07 1.054500001.05450000
2023-03-06 1.070300001.07030000
2023-03-03 1.079600001.07960000
2023-03-02 1.074800001.07480000
2023-03-01 1.079300001.07930000
2023-02-28 1.053000001.05300000
2023-02-27 1.050700001.05070000
2023-02-24 1.054300001.05430000
2023-02-23 1.066000001.06600000
2023-02-22 1.067000001.06700000
2023-02-21 1.077700001.07770000
2023-02-20 1.082100001.08210000
2023-02-17 1.064600001.06460000
2023-02-16 1.080200001.08020000
2023-02-15 1.081400001.08140000
2023-02-14 1.090200001.09020000
2023-02-13 1.090000001.09000000
2023-02-10 1.083900001.08390000
2023-02-09 1.095400001.09540000
2023-02-08 1.078200001.07820000
2023-02-07 1.082100001.08210000
2023-02-06 1.078000001.07800000
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