建信网金融分级A

(150331)公募权益被动型股票型指数型
拆分详情
公告日期 拆分日期 拆分前净值 拆分后净值 拆分比例
2018-02-092018-02-071.01131.00001.011300000
2017-12-052017-12-011.06001.00001.060000000
2016-12-052016-12-011.06001.00001.060000000
2015-12-032015-12-011.02131.00021.021117676