首页 - 基金理财 - 历史净值
汇添富香港优势精选混合型证券投资基金
日期 单位净值 累计净值
20240314 0.6470 0.7970
20240313 0.6450 0.7950
20240312 0.6030 0.7530
20240311 0.5890 0.7390
20240308 0.5710 0.7210
20240307 0.5600 0.7100
20240306 0.5800 0.7300
20240305 0.5720 0.7220
20240304 0.6020 0.7520
20240301 0.5770 0.7270
20240229 0.5860 0.7360
20240228 0.5850 0.7350
20240227 0.5890 0.7390
20240226 0.5710 0.7210
20240223 0.5700 0.7200
20240222 0.5630 0.7130
20240221 0.5580 0.7080
20240220 0.5510 0.7010
20240219 0.5400 0.6900
20240208 0.5180 0.6680