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基金净值
 
财通稳进回报6个月持有期混合A 010640
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净值日期单位净值(元)累计净值(元)
2023-12-01 1.005400001.00540000
2023-11-30 1.005500001.00550000
2023-11-29 1.005700001.00570000
2023-11-28 1.007700001.00770000
2023-11-27 1.007300001.00730000
2023-11-24 1.008400001.00840000
2023-11-23 1.010300001.01030000
2023-11-22 1.009000001.00900000
2023-11-21 1.011000001.01100000
2023-11-20 1.011100001.01110000
2023-11-17 1.009300001.00930000
2023-11-16 1.008500001.00850000
2023-11-15 1.010700001.01070000
2023-11-14 1.009000001.00900000
2023-11-13 1.008800001.00880000
2023-11-10 1.007700001.00770000
2023-11-09 1.009500001.00950000
2023-11-08 1.010700001.01070000
2023-11-07 1.010900001.01090000
2023-11-06 1.010400001.01040000
2023-11-03 1.007100001.00710000
2023-11-02 1.004700001.00470000
2023-11-01 1.007200001.00720000
2023-10-31 1.007400001.00740000
2023-10-30 1.009400001.00940000
2023-10-27 1.007300001.00730000
2023-10-26 1.003700001.00370000
2023-10-25 1.002700001.00270000
2023-10-24 1.000300001.00030000
2023-10-23 0.995800000.99580000
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基金数据仅供参考,具体请以实际购买时的交易系统数据为准。基金数据和资讯仅供投资者参考,并不构成投资建议。投资者据此操作,风险自担。
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