日期 |
每万份基金净收益(元/万份) |
7日年化收益率(%) |
2008-11-20 |
0.56822 |
11.447 |
2008-11-19 |
4.95290 |
11.496 |
2008-11-18 |
0.53451 |
8.997 |
2008-11-17 |
0.57127 |
11.006 |
2008-11-16 |
0.60083 |
11.065 |
2008-11-15 |
0.60085 |
11.105 |
2008-11-14 |
12.96669 |
11.146 |
2008-11-13 |
0.65197 |
4.741 |
2008-11-12 |
0.60507 |
4.728 |
2008-11-11 |
4.03753 |
4.787 |