新闻中心  > 每周资讯  > 正文
每周资讯715期:

时间:2023-07-18 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7月14日
 
 
2023-07-10

2023-07-11

2023-07-12
2023-07-13
2023-07-14
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
1.30213.14741.30743.15271.30253.14781.31453.15981.30683.1521
1.29183.81681.31143.83641.28853.81351.31613.84111.32533.8503
0.52192.43420.53082.45160.51682.42430.53072.45140.53992.4693
3.58123.58123.70973.70973.62213.62213.72693.72693.71543.7154
1.11312.08521.11342.08551.11252.08461.11332.08541.11472.0868
0.85901.29100.87301.30500.84901.28100.88001.31200.88301.3150
1.47301.47301.50301.50301.48901.48901.53401.53401.52201.5220
2.34202.51102.38502.55402.32702.49602.38002.54902.39402.5630
2.14002.14002.17902.17902.12702.12702.17502.17502.18802.1880
1.02491.02491.02541.02541.01241.01241.02951.02951.02591.0259
0.75571.02350.76621.03400.74931.01710.77571.04350.78101.0488
0.76611.04110.77671.05170.75951.03450.78631.06130.79161.0666
1.49501.49501.49801.49801.50101.50101.50601.50601.50601.5060
1.43801.43801.44101.44101.44401.44401.44901.44901.44901.4490
1.10771.10771.10781.10781.10771.10771.10781.10781.10791.1079
1.12271.12271.12271.12271.12271.12271.12271.12271.12271.1227
 
天治天得利货币A
日期
2023/7/92023/7/102023/7/112023/7/122023/7/132023/7/14
七日收益率(%)
1.16901.11901.42901.39001.34600.2365
每万份基金收益
0.53360.28440.93290.26640.24520.2365






天治天得利货币B
日期
2023/7/92023/7/102023/7/112023/7/122023/7/132023/7/14
七日收益率(%)
1.32001.27001.58101.54101.49700.2764
每万份基金收益
0.61580.32570.97430.30500.28630.2764

 

 

 

 

 

 

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。