首页 - 基金理财 - 历史净值
景顺长城新兴成长混合型证券投资基金
日期 单位净值 累计净值
20180208 1.2540 2.7910
20180207 1.2270 2.7640
20180206 1.2730 2.8100
20180205 1.3000 2.8370
20180202 1.3340 2.8710
20180201 1.3390 2.8760
20180131 1.3710 2.9080
20180130 1.3540 2.8910
20180129 1.3610 2.8980
20180126 1.4010 2.9380
20180125 1.3910 2.9280
20180124 1.3950 2.9320
20180123 1.4080 2.9450
20180122 1.3990 2.9360
20180119 1.3490 2.8860
20180118 1.5460 2.9130
20180117 1.5370 2.9040
20180116 1.5710 2.9380
20180115 1.5570 2.9240
20180112 1.5610 2.9280