中小板(159902)基金净值
曲线选择:
序号 日期 最新净值 累计净值
1 2017-11-17 3.7670 3.8870
2 2017-11-16 3.8430 3.9630
3 2017-11-15 3.8120 3.9320
4 2017-11-14 3.8920 4.0120
5 2017-11-13 3.9380 4.0580
6 2017-11-10 3.8970 4.0170
7 2017-11-09 3.8640 3.9840
8 2017-11-08 3.8160 3.9360
9 2017-11-07 3.8280 3.9480
10 2017-11-06 3.7900 3.9100
11 2017-11-02 3.7640 3.8840
12 2017-11-01 3.7720 3.8920
13 2017-10-31 3.7800 3.9000
14 2017-10-30 3.7410 3.8610
15 2017-10-27 3.7760 3.8960
16 2017-10-26 3.7930 3.9130
17 2017-10-25 3.7920 3.9120
18 2017-10-24 3.7730 3.8930
19 2017-10-23 3.7640 3.8840
20 2017-10-20 3.7430 3.8630