华夏成长(000001)基金净值
曲线选择:
序号 日期 最新净值 累计净值
1 2017-11-23 1.2110 3.5420
2 2017-11-22 1.2490 3.5800
3 2017-11-21 1.2680 3.5990
4 2017-11-20 1.2610 3.5920
5 2017-11-17 1.2550 3.5860
6 2017-11-16 1.2660 3.5970
7 2017-11-15 1.2470 3.5780
8 2017-11-14 1.2530 3.5840
9 2017-11-13 1.2650 3.5960
10 2017-11-10 1.2670 3.5980
11 2017-11-09 1.2520 3.5830
12 2017-11-08 1.2430 3.5740
13 2017-11-07 1.2490 3.5800
14 2017-11-06 1.2490 3.5800
15 2017-11-02 1.2360 3.5670
16 2017-11-01 1.2370 3.5680
17 2017-10-31 1.2380 3.5690
18 2017-10-30 1.2310 3.5620
19 2017-10-27 1.2380 3.5690
20 2017-10-26 1.2340 3.5650