新闻中心  > 每周资讯  > 正文
每周资讯698期:

时间:2023-03-07 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3日
 
 
2023-02-27

2023-02-28

2023-03-01
2023-03-02
2023-03-03
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
1.46483.31011.46793.31321.48113.32641.47083.31611.47033.3156
1.22733.75231.24093.76591.28043.80541.27993.80491.26623.7912
0.50532.40180.51292.41660.52442.43910.52442.43910.51802.4266
3.79483.79483.80983.80983.81573.81573.80253.80253.80653.8065
1.06132.03341.06362.03571.06852.04061.06882.04091.06762.0397
0.92001.35200.92101.35300.93001.36200.92401.35600.92101.3530
1.66001.66001.66601.66601.66501.66501.65901.65901.66101.6610
2.08802.25702.13602.30502.23702.40602.23602.40502.20002.3690
1.90501.90501.95001.95002.04202.04202.04202.04202.00902.0090
1.27741.27741.28631.28631.30041.30041.28921.28921.28661.2866
0.84691.11470.85271.12050.85811.12590.85501.12280.85661.1244
0.85931.13430.86511.14010.87061.14560.86741.14240.86911.1441
1.47201.47201.47201.47201.48301.48301.48201.48201.48701.4870
1.41901.41901.41901.41901.42901.42901.42801.42801.43301.4330
1.10211.10211.10211.10211.10221.10221.10231.10231.10231.1023
1.11821.11821.11821.11821.11831.11831.11841.11841.11831.1183
 
天治天得利货币A
日期
2023/02/26
2023/02/27
2023/02/28
2023/03/01
2023/03/02
2023/03/03
七日收益率(%)
2.54602.55402.58502.65401.70800.4591
每万份基金收益
0.92060.45210.47800.47430.46910.4591







天治天得利货币B
日期
2023/02/26
2023/02/27
2023/02/28
2023/03/01
2023/03/02
2023/03/03
七日收益率(%)
2.69102.69702.72702.79301.85400.4995
每万份基金收益
1.00280.48870.51830.51060.50610.4995

 


 


 


 


 


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。