华夏兴华A(519908)基金净值
曲线选择:
序号 日期 最新净值 累计净值
1 2017-10-13 1.9060 6.3400
2 2017-10-12 1.8900 6.3230
3 2017-10-11 1.8740 6.3060
4 2017-10-10 1.8710 6.3030
5 2017-10-09 1.8670 6.2990
6 2017-09-29 1.8490 6.2800
7 2017-09-28 1.8400 6.2700
8 2017-09-27 1.8430 6.2740
9 2017-09-26 1.8340 6.2640
10 2017-09-25 1.8330 6.2630
11 2017-09-22 1.8540 6.2850
12 2017-09-21 1.8560 6.2870
13 2017-09-20 1.8720 6.3040
14 2017-09-19 1.8570 6.2880
15 2017-09-18 1.8680 6.3000
16 2017-09-15 1.8580 6.2890
17 2017-09-14 1.8580 6.2890
18 2017-09-13 1.8600 6.2920
19 2017-09-12 1.8520 6.2830
20 2017-09-11 1.8690 6.3010