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每周资讯706期:

时间:2023-05-16 字号:打印















周刊EDM





 

 



基金净值
数据来源:中国银河证券基金研究中心    截止2023年5月16日
 
 
2023-05-08

2023-05-09

2023-05-10
2023-05-11
2023-05-12
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
单位净值
累计净值
1.34813.19341.35003.19531.33713.18241.33833.18361.32693.1722
1.35183.87681.32663.85161.31133.83631.30353.82851.27843.8034
0.56122.51090.55132.49160.54532.47990.53412.45800.52232.4350
3.53223.53223.50573.50573.49663.49663.51193.51193.48083.4808
1.10812.08021.10662.07871.10512.07721.10432.07641.10002.0721
0.89601.32800.88801.32000.86901.30100.85801.29000.84301.2750
1.55901.55901.54701.54701.54501.54501.54801.54801.52801.5280
2.50902.67802.47002.63902.44002.60902.42302.59202.37202.5410
2.29402.29402.25902.25902.23102.23102.21602.21602.16902.1690
1.13481.13481.14671.14671.12791.12791.12751.12751.12151.1215
0.79461.06240.78271.05050.77291.04070.76301.03080.74991.0177
0.80581.08080.79381.06880.78381.05880.77381.04880.76051.0355
1.49801.49801.49301.49301.49101.49101.49301.49301.48201.4820
1.44301.44301.43801.43801.43601.43601.43701.43701.42701.4270
1.10521.10521.10541.10541.10541.10541.10551.10551.10551.1055
1.12051.12051.12071.12071.12071.12071.12071.12071.12071.1207
 
天治天得利货币A
日期
2023/05/07
2023/05/08
2023/05/09
2023/05/10
2023/05/11
2023/05/12
七日收益率(%)
3.22003.22603.22603.83502.09200.3838
每万份基金收益
0.81290.41200.40031.52920.40220.3838







天治天得利货币B
日期
2023/05/07
2023/05/08
2023/05/09
2023/05/10
2023/05/11
2023/05/12
七日收益率(%)
3.37203.37603.36803.97602.22700.4156
每万份基金收益
0.89510.44930.42791.56570.43620.4156

 


 


 


 

 


 


风险提示:基金投资需谨慎。本资料来源及观点的出处皆被天治基金认为可靠,但所载观点不代表天治基金的立场,天治基金对所载信息资料的准确性、完整性亦不作任何担保或保证。