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基金净值
 
南方甑智混合 002850
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净值日期单位净值(元)累计净值(元)
2021-03-25 1.073100001.07310000
2021-03-24 1.072900001.07290000
2021-03-23 1.078100001.07810000
2021-03-22 1.081200001.08120000
2021-03-19 1.080000001.08000000
2021-03-18 1.088300001.08830000
2021-03-17 1.085800001.08580000
2021-03-16 1.079800001.07980000
2021-03-15 1.078200001.07820000
2021-03-12 1.085500001.08550000
2021-03-11 1.084500001.08450000
2021-03-10 1.080200001.08020000
2021-03-09 1.076100001.07610000
2021-03-08 1.082300001.08230000
2021-03-05 1.090600001.09060000
2021-03-04 1.089600001.08960000
2021-03-03 1.104300001.10430000
2021-03-02 1.100200001.10020000
2021-03-01 1.104500001.10450000
2021-02-26 1.097200001.09720000
2021-02-25 1.104900001.10490000
2021-02-24 1.100200001.10020000
2021-02-23 1.111100001.11110000
2021-02-22 1.112000001.11200000
2021-02-19 1.124300001.12430000
2021-02-18 1.132900001.13290000
2021-02-10 1.139100001.13910000
2021-02-09 1.132900001.13290000
2021-02-08 1.124200001.12420000
2021-02-05 1.117600001.11760000
419 条记录    每页 30 条    页次:1 / 14   
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