0.3040
-26.39%-0.1090
单位净值 [2014-01-24]
- 最近一月:-63.35%
- 最近一季:-71.64%
- 最近半年:-59.71%
- 今年以来:-66.63%
- 最近一年:---
- 最近两年:---
- 最近三年:---
- 成立以来:-69.55%
-
成立日期:2013-05-29
-
基金评级:
---
-
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2014-01-24 |
0.3040 |
0.3040 |
| 2014-01-16 |
0.4130 |
0.4130 |
| 2014-01-15 |
0.4992 |
0.4992 |
| 2014-01-14 |
0.5982 |
0.5982 |
| 2014-01-13 |
0.6173 |
0.6173 |
| 2014-01-10 |
0.6544 |
0.6544 |
| 2014-01-09 |
0.6903 |
0.6903 |
| 2014-01-08 |
0.7057 |
0.7057 |
| 2014-01-07 |
0.7216 |
0.7216 |
| 2014-01-06 |
0.7075 |
0.7075 |
| 2014-01-03 |
0.7876 |
0.7876 |
| 2014-01-02 |
0.8969 |
0.8969 |
| 2013-12-31 |
0.9109 |
0.9109 |
| 2013-12-30 |
0.8255 |
0.8255 |
| 2013-12-27 |
0.7956 |
0.7956 |
| 2013-12-26 |
0.8148 |
0.8148 |
| 2013-12-25 |
0.8232 |
0.8232 |
| 2013-12-24 |
0.8295 |
0.8295 |
| 2013-12-23 |
0.8390 |
0.8390 |
| 2013-12-20 |
0.8449 |
0.8449 |