首页 - 基金理财 - 历史净值
鹏华中证800地产指数型证券投资基金(LOF)
日期 单位净值 累计净值
20240304 0.6220 1.5000
20240301 0.6410 1.5120
20240229 0.6450 1.5150
20240228 0.6340 1.5080
20240227 0.6440 1.5140
20240226 0.6360 1.5090
20240223 0.6460 1.5150
20240222 0.6430 1.5130
20240221 0.6460 1.5150
20240220 0.6330 1.5070
20240219 0.6300 1.5050
20240208 0.6390 1.5110
20240207 0.6150 1.4960
20240206 0.6030 1.4880
20240205 0.5790 1.4730
20240202 0.5990 1.4860
20240201 0.5970 1.4840
20240131 0.6070 1.4910
20240130 0.6240 1.5010
20240129 0.6420 1.5130