日期
单位净值(元)
最近7天收益率
最近30日收益率
今年以来收益率
成立以来的收益率
累计净值(元)
资产净值(元)
20150410
1.9090
5.41%
22.61%
48.98%
113.42%
2.0480
20150409
1.8240
1.73%
19.45%
42.34%
103.92%
1.9630
20150408
1.8350
3.91%
21.60%
43.20%
105.15%
1.9740
20150407
1.8550
7.23%
22.93%
44.76%
107.39%
1.9940
20150403
1.8110
7.29%
21.46%
41.33%
102.47%
1.9500
20150402
1.7930
7.17%
19.61%
39.92%
100.46%
1.9320
20150401
1.7660
3.88%
19.89%
37.82%
97.44%
1.9050
1.76到1.9都有,怎么都是1。8?