新闻中心  > 每周资讯  > 正文
每周资讯700期:

时间:2023-03-21 浏览次数: 字号:打印















周刊EDM





 

 



基金净值
数据来源:中国银河证券基金研究中心    截止2023年3月17日
 
 
2023-03-13

2023-03-14

2023-03-15
2023-03-16
2023-03-17
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
1.39753.24281.38493.23021.39703.24231.38253.22781.38633.2316
1.29863.82361.30773.83271.28963.81461.27973.80471.32263.8476
0.52042.43130.51802.42660.51042.41180.50642.40400.52592.4420
3.76313.76313.77143.77143.76453.76453.74993.74993.73643.7364
1.07402.04611.07312.04521.07182.04391.06992.04201.07712.0492
0.90601.33800.90601.33800.90101.33300.88401.31600.88901.3210
1.64001.64001.64401.64401.64101.64101.63501.63501.62701.6270
2.30102.47002.29502.46402.25502.42402.26102.43002.36202.5310
2.10202.10202.09602.09602.06102.06102.06502.06502.15802.1580
1.19121.19121.17661.17661.19461.19461.18371.18371.18491.1849
0.83641.10420.83131.09910.83441.10220.80661.07440.80981.0776
0.84851.12350.84341.11840.84651.12150.81831.09330.82161.0966
1.45801.45801.45601.45601.45901.45901.44601.44601.44901.4490
1.40501.40501.40301.40301.40501.40501.39301.39301.39601.3960
1.10271.10271.10271.10271.10251.10251.10261.10261.10271.1027
1.11861.11861.11861.11861.11841.11841.11851.11851.11861.1186
 
天治天得利货币A
日期
2023/03/12
2023/03/13
2023/03/14
2023/03/15
2023/03/16
2023/03/17
七日收益率(%)
1.89901.88601.89801.91001.90900.4874
每万份基金收益
0.85200.43700.44640.45180.42090.4874







天治天得利货币B
日期
2023/03/12
2023/03/13
2023/03/14
2023/03/15
2023/03/16
2023/03/17
七日收益率(%)
2.05202.03802.05102.06302.06700.5286
每万份基金收益
0.93420.47730.49140.49490.46690.5286

 


 


 


 

 


 


风险提示:基金投资需谨慎。本资料来源及观点的出处皆被天治基金认为可靠,但所载观点不代表天治基金的立场,天治基金对所载信息资料的准确性、完整性亦不作任何担保或保证。