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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) |
2016-12-02 | 2016-11-30 | 1.1538 | 1.118 | 1:1.03202 |
2017-12-04 | 2017-11-30 | 0.963 | 0.938 | 1:1.02665 |
2018-09-13 | 2018-09-11 | 0.6391 | 1 | 1:0.63907 |
2018-12-04 | 2018-11-30 | 1.1005 | 1.095 | 1:1.005 |
2019-03-11 | 2019-03-07 | 1.5922 | 1.013 | 1:1.57173 |
2019-12-03 | 2019-11-29 | 0.811 | 0.786 | 1:1.03182 |
2020-12-02 | 2020-11-30 | 1.116 | 1.091 | 1:1.02291 |