首页 - 基金理财 - 历史净值
东方惠新灵活配置混合型证券投资基金
日期 单位净值 累计净值
20180326 2.1749 2.1749
20180323 2.1818 2.1818
20180322 2.1958 2.1958
20180321 2.2010 2.2010
20180320 2.2043 2.2043
20180319 2.2017 2.2017
20180316 2.2079 2.2079
20180315 2.2136 2.2136
20180314 2.2126 2.2126
20180313 2.2136 2.2136
20180312 2.2173 2.2173
20180309 2.2183 2.2183
20180308 2.2168 2.2168
20180307 2.2136 2.2136
20180306 2.2202 2.2202
20180305 2.2072 2.2072
20180302 2.2065 2.2065
20180301 2.2129 2.2129
20180228 2.2134 2.2134
20180227 2.2179 2.2179