基金拆分 |
公告日期 | 拆分日 | 拆分前单位净值(元) | 拆分后单位净值(元) | 拆分比例(1:X) |
2015-09-18 | 2015-09-16 | .6764 | 1 | 1:.67638 |
2015-12-22 | 2015-12-18 | 1.5045 | 1 | 1:1.50446 |
2017-01-05 | 2017-01-03 | .8258 | .79700000000000004 | 1:1.03618 |
2018-01-04 | 2018-01-02 | .8204 | .79800000000000004 | 1:1.02813 |
2018-06-22 | 2018-06-20 | .6177 | 1 | 1:.61772 |
2019-01-04 | 2019-01-02 | .846 | .83399999999999996 | 1:1.01434 |
2020-11-10 | 2020-11-06 | 1.513 | 1 | 1:1.513 |
2020-01-06 | 2020-01-02 | 1.0444 | 1.022 | 1:1.02194 |