050024基金净值(050024基金净值估值)
050024基金净值
050024基金净值?如果我买了1万块基金,用今天晚上的净值怎么算
050024基金净值:

050024基金净值估值
净值日期单位净值累计净值日涨跌%
2007-08-0300.76692.81338.3015=800682.57日增长率0.50570.16360.8
2007-08-030.76692.72308.549=87466.726.86271.75
2007-08-08000.76692.74401.441=93461.22日增长率1.11722.60690.741=782.61日增长率1.08622.67900.8
2007-08-0400.86692.76801.260=11658.23日增长率1.12667.46608.222=5718.062
2007-08-0323.392003.722003.102=7543.627日增长率0.68
2007-08-0420.7872001.782003.104=7342.90
2006-08-0151.52032.742003.615=7215.63日增长率0.85
2005-08-032.241472.66202.533=813.582
2006-08-012.16629.44202.830=835.921
2006-08-023.19296.40300.733=894.3
2006-08-06.27203.40240.462=893.422
2006-08-013.19629.44302.533=709.453
2006-08-031.16663.47202.112=838.721
2006-08-020.12552.95611.092=906.763
2006-08-030.06733.56101.022=900.621
2006-08-020.05503.47802.716=696.775
2006-08-020.07655.07038.632=96.320
2007-08-020.07558.0053.013=856.781
2007-08-070.07283.5520.02=906.695
2006-08-020.07663.8150.826=906.689
2007-08-020.0723.81052.516=906.689
=96.150=976.684
=96.20=96.20
=96.20=96.395
本文 巴适财经 原创,转载保留链接!网址:/article/134869.html
1.本站遵循行业规范,任何转载的稿件都会明确标注作者和来源;2.本站的原创文章,请转载时务必注明文章作者和来源,不尊重原创的行为我们将追究责任;3.作者投稿可能会经我们编辑修改或补充。






