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            新聞中心  > 每周資訊  > 正文
            每周資訊716期:

            時間:2023-07-25 字號:打印















            周刊EDM





             

             



            基金凈值
            數據來源:中國銀河證券基金研究中心    截止2023年7月21日
             
             
            2023-07-17

            2023-07-18

            2023-07-19
            2023-07-20
            2023-07-21
            單位凈值
            累計凈值
            單位凈值
            累計凈值
            單位凈值
            累計凈值
            單位凈值
            累計凈值
            單位凈值
            累計凈值
            1.30113.14641.30723.15251.31383.15911.31433.15961.32043.1657
            1.31883.84381.30653.83151.30053.82551.26273.78771.25613.7811
            0.53432.45840.52702.44420.52412.43850.50752.40610.50492.4010
            3.68443.68443.65333.65333.62923.62923.51733.51733.48133.4813
            1.11522.08731.11412.08621.11412.08621.11302.08511.11642.0885
            0.87601.30800.86501.29700.86301.29500.84301.27500.84001.2720
            1.50801.50801.49701.49701.49201.49201.47001.47001.47301.4730
            2.37102.54002.33902.50802.32702.49602.26102.43002.25002.4190
            2.16702.16702.13702.13702.12702.12702.06602.06602.05602.0560
            1.02021.02021.02811.02811.03601.03601.03721.03721.04801.0480
            0.77571.04350.77081.03860.77001.03780.75501.02280.75271.0205
            0.78621.06120.78121.05620.78051.05550.76531.04030.76291.0379
            1.50201.50201.50401.50401.50701.50701.50801.50801.50401.5040
            1.44501.44501.44701.44701.45001.45001.45101.45101.44701.4470
            1.10791.10791.10811.10811.10831.10831.10831.10831.10841.1084
            1.12281.12281.12291.12291.12311.12311.12321.12321.12321.1232
             
            天治天得利貨幣A
            日期
            2023/7/162023/7/172023/7/182023/7/192023/7/202023/7/21
            七日收益率(%)
            1.28701.26600.90402.82702.88700.2983
            每萬份基金收益
            0.48690.24510.24653.88790.35690.2983







            天治天得利貨幣B
            日期
            2023/7/162023/7/172023/7/182023/7/192023/7/202023/7/21
            七日收益率(%)
            1.43701.41601.05402.98103.04200.3375
            每萬份基金收益
            0.56910.28640.28793.92900.39830.3375

             


             


             


             

             


             


            風險提示:基金投資需謹慎。本資料來源及觀點的出處皆被天治基金認為可靠,但所載觀點不代表天治基金的立場,天治基金對所載信息資料的準確性、完整性亦不作任何擔?;虮WC。

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