首页 - 基金理财 - 历史净值
华夏饲料豆粕期货交易型开放式证券投资基金发起式联接基金
日期 单位净值 累计净值
20241022 1.6956 1.6956
20241021 1.6994 1.6994
20241018 1.6920 1.6920
20241017 1.7046 1.7046
20241016 1.7071 1.7071
20241015 1.7066 1.7066
20241014 1.6991 1.6991
20241011 1.7082 1.7082
20241010 1.7194 1.7194
20241009 1.7308 1.7308
20241008 1.7369 1.7369
20240930 1.7775 1.7775
20240927 1.7563 1.7563
20240926 1.7602 1.7602
20240925 1.7565 1.7565
20240924 1.7563 1.7563
20240923 1.7316 1.7316
20240920 1.7383 1.7383
20240919 1.7601 1.7601
20240918 1.7730 1.7730