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基金净值
 
泰信保本混合 290012J
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净值日期单位净值(元)累计净值(元)
2015-03-03 1.134000001.16400000
2015-03-02 1.142000001.17200000
2015-02-27 1.142000001.17200000
2015-02-26 1.140000001.17000000
2015-02-25 1.123000001.15300000
2015-02-17 1.133000001.16300000
2015-02-16 1.127000001.15700000
2015-02-13 1.112000001.14200000
2015-02-12 1.100000001.13000000
2015-02-11 1.096000001.12600000
2015-02-10 1.093000001.12300000
2015-02-09 1.084000001.11400000
2015-02-06 1.087000001.11700000
2015-02-05 1.111000001.14100000
2015-02-04 1.123000001.15300000
2015-02-03 1.130000001.16000000
2015-02-02 1.114000001.14400000
2015-01-30 1.133000001.16300000
2015-01-29 1.142000001.17200000
2015-01-28 1.158000001.18800000
2015-01-27 1.181000001.21100000
2015-01-26 1.188000001.21800000
2015-01-23 1.176000001.20600000
2015-01-22 1.181000001.21100000
2015-01-21 1.163000001.19300000
2015-01-20 1.125000001.15500000
2015-01-19 1.104000001.13400000
2015-01-16 1.172000001.20200000
2015-01-15 1.164000001.19400000
2015-01-14 1.147000001.17700000
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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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