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封閉式基金最新凈值一覽

http://www.sina.com.cn 2007年07月24日 07:10 四川新聞網-成都商報

  四川新聞網-成都商報訊

  截至日期:7月20日

  證券證券最新最新單位折價率基金到期日

  代碼簡稱收盤價(元)凈值(元)(%)

  184688基金開元2.883.378414.7532013-03-27

  184689基金普惠2.4443.1321.9172014-01-06

  184690基金同益2.3592.991121.1332014-04-08

  184691基金景宏2.753.194413.9122014-05-05

  184692基金裕隆2.4283.023319.6902014-06-14

  184693基金普豐1.9762.512121.3412014-07-14

  184698基金天元2.5873.096716.4592014-08-25

  184699基金同盛2.0532.657822.7562014-11-05

  184700基金鴻飛2.5512.79868.8472008-04-14

  184701基金景福2.2072.803121.2662014-12-30

  184703基金金盛2.713.212715.6472009-11-30

  184705基金裕澤2.4372.949617.3792011-05-31

  184706基金天華1.7452.152618.9352009-07-11

  184709基金安久2.4733.071819.4932007-08-30

  184710基金隆元3.1683.35025.4382007-12-29

  184712基金科匯3.2683.60889.4442008-12-13

  184713基金科翔3.6934.08279.5452008-12-13

  184718基金興安2.9473.12285.6302007-12-29

  184719基金融鑫2.763.00288.0862008-02-04

  184721基金豐和2.4753.078419.6012017-03-22

  184722基金久嘉2.5393.078317.5192017-07-05

  184728基金鴻陽1.7472.238621.9602016-12-09

  500001基金金泰2.3392.995721.9212013-03-27

  500002基金泰和2.7113.261216.8712014-04-07

  500003基金安信2.2672.903921.9332013-06-22

  500005基金漢盛2.383.089922.9752014-05-09

  500006基金裕陽2.4483.063120.0812013-07-25

  500007基金景陽3.153.32345.2182007-12-31

  500008基金興華2.4763.086719.7852013-04-28

  500009基金安順2.1592.646418.4172014-06-14

  500011基金金鑫2.042.622422.2092014-10-20

  500015基金漢興1.6692.162322.8142014-12-30

  500018基金興和2.1022.688921.8272014-07-13

  500025基金漢鼎2.0142.369915.0182008-12-31

  500029基金科訊2.6842.85896.1182008-01-11

  500038基金通乾2.072.675422.6282016-08-28

  500039基金同德2.6462.80945.8162007-11-30

  500056基金科瑞2.6043.247619.8182017-03-12

  500058基金銀豐1.8182.25819.4862017-08-14

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