2008年07月07日
开放式基金历史净值查询 选择基金   开始日期   结束日期  
日期 份额净值(元) 份额累计净值(元) 价值线(元) 累计价值线(元)
2008-07-040.6653.1670.7102.027
2008-07-030.6703.1720.7102.027
2008-07-020.6633.1650.7102.027
2008-07-010.6613.1630.7102.027
2008-06-300.6763.1780.7102.027
2008-06-270.6783.1800.7102.027
2008-06-260.6983.2000.7102.027
2008-06-250.6983.2000.7102.027
2008-06-240.6803.1820.7102.027
2008-06-230.6703.1720.7102.027
2008-06-200.6793.1810.7102.027
2008-06-190.6723.1740.7102.027
2008-06-180.7023.2040.7102.027
2008-06-170.6823.1840.7102.027
2008-06-160.6963.1980.7102.027
2008-06-130.6993.2010.7102.027
2008-06-120.7133.2150.7102.027
2008-06-110.7193.2210.7102.027
2008-06-100.7233.2250.7102.027
第1页(共1页) 首页    上一页    下一页    尾页  跳到第
 首页 │ 网站导航 │ 联系我们 │ 职位机会  |  退出                  客服电话:95105568   客服邮箱:service@bosera.com