首页 - 基金理财 - 历史净值
万家北证50成份指数型发起式证券投资基金
日期 单位净值 累计净值
20240919 0.7021 0.7021
20240918 0.6940 0.6940
20240913 0.7000 0.7000
20240912 0.6966 0.6966
20240911 0.7036 0.7036
20240910 0.7034 0.7034
20240909 0.7054 0.7054
20240906 0.7141 0.7141
20240905 0.7270 0.7270
20240904 0.7289 0.7289
20240903 0.7383 0.7383
20240902 0.7330 0.7330
20240830 0.7525 0.7525
20240829 0.7408 0.7408
20240828 0.7378 0.7378
20240827 0.7362 0.7362
20240826 0.7497 0.7497
20240823 0.7463 0.7463
20240822 0.7513 0.7513
20240821 0.7684 0.7684