新闻中心  > 每周资讯  > 正文
每周资讯710期:

时间:2023-06-13 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6月9日
 
 
2023-06-05

2023-06-06

2023-06-07
2023-06-08
2023-06-09
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
1.31213.15741.31633.16161.31483.16011.33443.17971.32513.1704
1.34573.87071.31173.83671.32433.84931.29093.81591.31973.8447
0.54442.47810.52552.44120.52672.44360.51652.42370.53422.4582
3.64753.64753.56483.56483.56273.56273.51623.51623.55783.5578
1.11292.08501.11182.08391.11172.08381.11242.08451.11332.0854
0.86901.30100.84901.28100.85101.28300.83901.27100.85501.2870
1.48101.48101.46701.46701.44901.44901.45301.45301.45601.4560
2.50402.67302.43902.60802.45702.62602.39202.56102.45302.6220
2.28902.28902.23002.23002.24602.24602.18702.18702.24202.2420
1.06971.06971.07521.07521.08801.08801.11341.11341.09701.0970
0.74521.01300.73551.00330.73511.00290.73351.00130.74351.0113
0.75561.03060.74581.02080.74531.02030.74371.01870.75381.0288
1.48301.48301.47801.47801.47201.47201.47601.47601.48001.4800
1.42801.42801.42201.42201.41701.41701.42101.42101.42401.4240
1.10631.10631.10641.10641.10651.10651.10651.10651.10661.1066
1.12131.12131.12141.12141.12161.12161.12171.12171.12171.1217
 
天治天得利货币A
日期
2023/6/42023/6/52023/6/62023/6/72023/6/82023/6/9
七日收益率(%)
1.59101.59501.53701.52201.51600.4071
每万份基金收益
0.83410.41160.40960.40640.40750.4071






天治天得利货币B
日期
2023/6/42023/6/52023/6/62023/6/72023/6/82023/6/9
七日收益率(%)
1.74401.74901.69201.67801.67200.4490
每万份基金收益
0.91630.45330.45250.44890.44930.4490

 

 

 

 

 

 

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。