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 2017-12-13 1.8990 6.3330
2 2017-12-12 1.8910 6.3240
3 2017-12-11 1.9010 6.3350
4 2017-12-08 1.8760 6.3080
5 2017-12-07 1.8500 6.2810
6 2017-12-06 1.8660 6.2980
7 2017-12-05 1.8630 6.2950
8 2017-12-04 1.8900 6.3230
9 2017-12-01 1.8940 6.3270
10 2017-11-30 1.8800 6.3130
11 2017-11-29 1.9130 6.3470
12 2017-11-28 1.8970 6.3300
13 2017-11-27 1.8900 6.3230
14 2017-11-24 1.9020 6.3360
15 2017-11-23 1.9040 6.3380
16 2017-11-22 1.9540 6.3900
17 2017-11-21 1.9440 6.3800
18 2017-11-20 1.9280 6.3630
19 2017-11-17 1.9260 6.3610
20 2017-11-16 1.9650 6.4020