8月13日基金净值日增长率累计净值近一周增长率近一月增长率近一季增长率近半年增长率0.646-0.92%0.6462.05%-3.15%-18.33%-0.62%每日基金净值查询070012,嘉实海外基金净值趋势查询:
日期单位净值累计净值增长率2015/8/120.6460.646-0.92%2015/8/110.6520.6521.09%2015/8/100.6450.6451.42%2015/8/70.6360.6360.95%2015/8/60.630.63-0.47%2015/8/50.6330.6330.48%2015/8/40.630.630.48%2015/8/30.6270.627-1.72%更多基金净值查询,每日基金净值查询相关资讯请重视中金网基金新闻频道。责任编辑酒鬼