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基金净值
 
上投摩根安鑫回报混合A 001947
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净值日期单位净值(元)累计净值(元)
2021-08-27 1.029400001.19980000
2021-08-26 1.029600001.20000000
2021-08-25 1.029700001.20010000
2021-08-24 1.029700001.20010000
2021-08-23 1.029600001.20000000
2021-08-20 1.029700001.20010000
2021-08-19 1.029500001.19990000
2021-08-18 1.029400001.19980000
2021-08-17 1.029400001.19980000
2021-08-16 1.029400001.19980000
2021-08-13 1.029400001.19980000
2021-08-12 1.029400001.19980000
2021-08-11 1.029500001.19990000
2021-08-10 1.029500001.19990000
2021-08-09 1.029600001.20000000
2021-08-06 1.029700001.20010000
2021-08-05 1.029700001.20010000
2021-08-04 1.029800001.20020000
2021-08-03 1.029800001.20020000
2021-08-02 1.029700001.20010000
2021-07-30 1.029700001.20010000
2021-07-29 1.029700001.20010000
2021-07-28 1.029700001.20010000
2021-07-27 1.029500001.19990000
2021-07-26 1.029800001.20020000
2021-07-23 1.029900001.20030000
2021-07-22 1.030100001.20050000
2021-07-21 1.030000001.20040000
2021-07-20 1.029700001.20010000
2021-07-19 1.030800001.20120000
1226 条记录    每页 30 条    页次:1 / 41   
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