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基金净值
 
国泰中小板300成长ETF联接 020025
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净值日期单位净值(元)累计净值(元)
2015-07-30 1.047000001.83200000
2015-07-29 1.072000001.85700000
2015-07-28 1.041000001.82600000
2015-07-27 1.073000001.85800000
2015-07-24 1.163000001.94800000
2015-07-23 1.181000001.96600000
2015-07-22 1.157000001.94200000
2015-07-21 1.143000001.92800000
2015-07-20 1.136000001.92100000
2015-07-17 1.126000001.91100000
2015-07-16 1.068000001.85300000
2015-07-15 1.041000001.82600000
2015-07-14 1.070000001.85500000
2015-07-13 1.056000001.84100000
2015-07-10 1.027000001.81200000
2015-07-09 1.003000001.78800000
2015-07-08 0.993000001.77800000
2015-07-07 1.003000001.78800000
2015-07-06 1.036000001.82100000
2015-07-03 1.037000001.82200000
2015-07-02 1.060000001.84500000
2015-07-01 1.096000001.88100000
2015-06-30 1.113000001.89800000
2015-06-29 1.095000001.88000000
2015-06-26 1.900000001.90000000
2015-06-25 1.925000001.92500000
2015-06-24 2.000000002.00000000
2015-06-23 1.977000001.97700000
2015-06-19 1.951000001.95100000
2015-06-18 2.068000002.06800000
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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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