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基金凈值
 
南方避險增值 202201
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凈值日期單位凈值(元)累計凈值(元)
2006-06-26 1.289100001.45310000
2006-06-23 1.264700001.42870000
2006-06-22 1.253600001.41760000
2006-06-21 1.257500001.42150000
2006-06-20 1.267300001.43130000
2006-06-19 1.259100001.42310000
2006-06-16 1.252200001.41620000
2006-06-15 1.232400001.39640000
2006-06-14 1.229400001.39340000
2006-06-13 1.239200001.40320000
2006-06-12 1.247400001.41140000
2006-06-09 1.236000001.40000000
2006-06-08 1.235000001.39900000
2006-06-07 1.234400001.39840000
2006-06-06 1.275500001.43950000
2006-06-05 1.273800001.43780000
2006-06-02 1.264900001.42890000
2006-06-01 1.277600001.44160000
2006-05-31 1.259800001.42380000
2006-05-30 1.268100001.43210000
2006-05-29 1.270500001.43450000
2006-05-26 1.251800001.41580000
2006-05-25 1.235700001.39970000
2006-05-24 1.231600001.39560000
2006-05-23 1.233800001.39780000
2006-05-22 1.259500001.42350000
2006-05-19 1.248300001.41230000
2006-05-18 1.226000001.39000000
2006-05-17 1.228700001.39270000
2006-05-16 1.220400001.38440000
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基金數據僅供參考,具體請以實際購買時的交易系統數據為準。基金數據和資訊僅供投資者參考,並不構成投資建議。投資者據此操作,風險自擔。
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