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华安沪港深外延增长灵活配置基金(001694)单位净值及收益率走势图
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基金名称 单位净值 累计净值 日增长率
华安沪港深外延增长灵活配置基金(001694)历史净值列表
截至日期 单位净值(元) 累计净值(元) 增长值(元) 增长率(%)
2017-5-151.2691.2690.00900.71%
2017-5-121.261.26-0.0070-0.55%
2017-5-111.2671.2670.00800.64%
2017-5-101.2591.259-0.0050-0.40%
2017-5-91.2641.2640.00700.56%
2017-5-81.2571.257-0.0160-1.26%
2017-5-51.2731.273-0.0120-0.93%
2017-5-41.2851.285-0.0120-0.93%
2017-5-31.2971.2970.00200.15%
2017-5-21.2951.2950.00400.31%
2017-4-281.2911.291-0.0030-0.23%
2017-4-271.2941.2940.00500.39%
2017-4-261.2891.2890.00500.39%
2017-4-251.2841.2840.00600.47%
2017-4-241.2781.278-0.0140-1.08%
2017-4-211.2921.292-0.0050-0.39%
2017-4-201.2971.2970.00100.08%
2017-4-191.2961.296-0.0050-0.38%
2017-4-181.3011.301-0.0040-0.31%
2017-4-171.3051.305-0.0060-0.46%
2017-4-141.3111.311-0.0120-0.91%
2017-4-131.3231.3230.00400.30%
2017-4-121.3191.319-0.0090-0.68%
2017-4-111.3281.3280.00300.23%
2017-4-101.3251.325-0.0050-0.38%
2017-4-71.331.33-0.0020-0.15%
2017-4-61.3321.332-0.0020-0.15%
2017-4-51.3341.3340.03002.30%
2017-3-311.3041.3040.00600.46%
2017-3-301.2981.298-0.0180-1.37%
2017-3-291.3161.316-0.0090-0.68%
2017-3-281.3251.3250.00300.23%
2017-3-271.3221.322-0.0060-0.45%
2017-3-241.3281.3280.00500.38%
2017-3-231.3231.3230.00500.38%
2017-3-221.3181.3180.00200.15%
2017-3-211.3161.3160.00100.08%
2017-3-201.3151.3150.01000.77%
2017-3-171.3051.305-0.0180-1.36%
2017-3-161.3231.3230.01801.38%
2017-3-151.3051.3050.00300.23%
2017-3-141.3021.302-0.0080-0.61%
2017-3-131.311.310.01501.16%
2017-3-101.2951.2950.01100.86%
2017-3-91.2841.284-0.0100-0.77%
2017-3-81.2941.294-0.0060-0.46%
2017-3-71.31.30.00700.54%
2017-3-61.2931.2930.01401.09%
2017-3-31.2791.2790.00700.55%
2017-3-21.2721.2720.00000.00%
2017-3-11.2721.2720.00400.32%
2017-2-281.2681.2680.00200.16%
2017-2-271.2661.266-0.0040-0.31%
2017-2-241.271.270.00600.47%
2017-2-231.2641.264-0.0040-0.32%
2017-2-221.2681.2680.00700.56%
2017-2-211.2611.2610.01100.88%
2017-2-201.251.250.00500.40%
2017-2-171.2451.245-0.0160-1.27%
2017-2-161.2611.2610.00100.08%

说明:橙色背景栏表示当日分红或拆分,鼠标悬停显示分红金额或拆分比例。
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