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景顺增长基金详情
景顺增长基金(260104)历史净值
基金代码 起始日 终止日

截至日期 单位净值(元) 累计净值(元) 增长率(%)
2008-7-4 2.7230 3.5930 0.04%
2008-7-3 2.7220 3.5920 2.52%
2008-7-2 2.6550 3.5250 0.26%
2008-7-1 2.6480 3.5180 -2.90%
2008-6-30 2.7270 3.5970 -0.76%
2008-6-27 2.7480 3.6180 -4.02%
2008-6-26 2.8630 3.7330 0.56%
2008-6-25 2.8470 3.7170 3.26%
2008-6-24 2.7570 3.6270 1.55%
2008-6-23 2.7150 3.5850 -1.99%
2008-6-20 2.7700 3.6400 1.99%
2008-6-19 2.7160 3.5860 -5.17%
2008-6-18 2.8640 3.7340 3.24%
2008-6-17 2.7740 3.6440 -2.19%
2008-6-16 2.8360 3.7060 -0.74%
2008-6-13 2.8570 3.7270 -1.96%
2008-6-12 2.9140 3.7840 -1.42%
2008-6-11 2.9560 3.8260 -1.20%
2008-6-10 2.9920 3.8620 -5.82%
2008-6-6 3.1770 4.0470 -0.56%
2008-6-5 3.1950 4.0650 -0.78%
2008-6-4 3.2200 4.0900 -1.68%
2008-6-3 3.2750 4.1450 0.15%
2008-6-2 3.2700 4.1400 0.18%
2008-5-30 3.2640 4.1340 0.37%
2008-5-29 3.2520 4.1220 -1.93%
2008-5-28 3.3160 4.1860 ---
2008-5-27 3.2430 4.1130 0.43%
2008-5-26 3.2290 4.0990 -2.15%
2008-5-23 3.3000 4.1700 -0.36%
2008-5-22 3.3120 4.1820 -1.10%
2008-5-21 3.3490 4.2190 1.27%
2008-5-20 3.3070 4.1770 -4.01%
2008-5-19 3.4450 4.3150 -0.78%
2008-5-16 3.4720 4.3420 -0.40%
2008-5-15 3.4860 4.3560 -0.77%
2008-5-14 3.5130 4.3830 2.36%
2008-5-13 3.4320 4.3020 -1.21%
2008-5-12 3.4740 4.3440 0.64%
2008-5-9 3.4520 4.3220 -1.17%
2008-5-8 3.4930 4.3630 2.40%
2008-5-7 3.4110 4.2810 -3.70%
2008-5-6 3.5420 4.4120 -0.70%
2008-5-5 3.5670 4.4370 1.89%
2008-4-30 3.5010 4.3710 4.04%
2008-4-29 3.3650 4.2350 1.17%
2008-4-28 3.3260 4.1960 -1.60%
2008-4-25 3.3800 4.2500 -0.14%
2008-4-24 3.5650 4.2550 7.64%
2008-4-23 3.3120 4.0020 3.92%
2008-4-22 3.1870 3.8770 0.70%
2008-4-21 3.1650 3.8550 ---
2008-4-18 3.1730 3.8630 -2.40%
2008-4-17 3.2510 3.9410 -2.11%
2008-4-16 3.3210 4.0110 -1.86%
2008-4-15 3.3840 4.0740 1.74%
2008-4-14 3.3260 4.0160 -5.08%
2008-4-11 3.5040 4.1940 0.75%
2008-4-10 3.4780 4.1680 1.13%
2008-4-9 3.4390 4.1290 -4.39%


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