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基金净值
 
申万菱信宜选混合A 011484
491 条记录    每页 30 条    页次:16 / 17   
净值日期单位净值(元)累计净值(元)
2021-04-27 0.989600000.98960000
2021-04-26 0.991800000.99180000
2021-04-23 0.994300000.99430000
2021-04-22 0.995300000.99530000
2021-04-21 0.997200000.99720000
2021-04-20 0.998800000.99880000
2021-04-19 1.000300001.00030000
2021-04-16 0.999100000.99910000
2021-04-15 0.997700000.99770000
2021-04-14 0.999200000.99920000
2021-04-13 0.999600000.99960000
2021-04-12 1.001300001.00130000
2021-04-09 1.000300001.00030000
2021-04-08 1.000900001.00090000
2021-04-07 1.001600001.00160000
2021-04-06 1.001000001.00100000
2021-04-02 1.001200001.00120000
2021-04-01 1.002000001.00200000
2021-03-31 1.001600001.00160000
2021-03-30 1.001400001.00140000
2021-03-29 1.001200001.00120000
2021-03-26 1.000200001.00020000
2021-03-25 1.000200001.00020000
2021-03-24 1.000100001.00010000
2021-03-23 1.000400001.00040000
2021-03-22 1.000700001.00070000
2021-03-19 0.999800000.99980000
2021-03-18 1.000000001.00000000
2021-03-17 0.999900000.99990000
2021-03-16 0.999900000.99990000
491 条记录    每页 30 条    页次:16 / 17   
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