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 2017-08-23 1.7810 6.2080
2 2017-08-22 1.7840 6.2120
3 2017-08-21 1.7890 6.2170
4 2017-08-18 1.7850 6.2130
5 2017-08-17 1.7950 6.2230
6 2017-08-16 1.7910 6.2190
7 2017-08-15 1.7870 6.2150
8 2017-08-14 1.7820 6.2090
9 2017-08-11 1.7450 6.1700
10 2017-08-10 1.7670 6.1940
11 2017-08-09 1.7660 6.1930
12 2017-08-08 1.7580 6.1840
13 2017-08-07 1.7560 6.1820
14 2017-08-04 1.7410 6.1660
15 2017-08-03 1.7500 6.1760
16 2017-08-02 1.7640 6.1900
17 2017-08-01 1.7740 6.2010
18 2017-07-31 1.7770 6.2040
19 2017-07-28 1.7800 6.2070
20 2017-07-27 1.7610 6.1870