“亚洲创富精选”代客境外理财产品于
时间
|
产品美元单位净值
|
涨跌幅
|
“亚洲创富精选”产品人民币申购单位净值
|
“亚洲创富精选”产品人民币赎回单位净值
|
|
2015-01-20
|
0.126995
|
0.65%
|
0.788791
|
0.787622
|
|
2015-01-13
|
0.12617
|
2.80%
|
0.781689
|
0.780995
|
|
2015-01-06
|
0.122737
|
-1.43%
|
0.763488
|
0.761954
|
|
2014-12-30
|
0.124515
|
1.14%
|
0.773862
|
0.772617
|
|
2014-12-23
|
0.123116
|
1.30%
|
0.765538
|
0.763322
|
|
2014-12-16
|
0.121541
|
-2.84%
|
0.755316
|
0.753311
|
|
2014-12-09
|
0.125100
|
-0.29%
|
0.772241
|
0.771240
|
|
2014-12-02
|
0.125459
|
0.36%
|
0.771863
|
0.770947
|
|
2014-11-25
|
0.125015
|
1.34%
|
0.767091
|
0.765716
|
|
2014-11-18
|
0.123357
|
0.28%
|
0.755575
|
0.754798
|
|
2014-11-11
|
0.123008
|
-0.28%
|
0.753385
|
0.752561
|
|
2014-11-04
|
0.123260
|
2.50%
|
0.753967
|
0.753301
|
|
2014-10-28
|
0.120259
|
2.06%
|
0.735382
|
0.734540
|
|
2014-10-21
|
0.117835
|
0.29%
|
0.721012
|
0.720210
|
|
2014-10-14
|
0.117499
|
-2.37%
|
0.719445
|
0.718505
|
|
2014-10-08
|
0.120352
|
-1.44%
|
0.738119
|
0.737926
|
|
2014-09-30
|
0.122112
|
-1.88%
|
0.749403
|
0.748548
|
|
2014-09-23
|
0.124452
|
-0.71%
|
0.763637
|
0.762890
|
|
……
|
……
|
……
|
……
|
……
|
|
2007.10.02
|
0.132892
|
——
|
1.000000
|
注:人民币申购单位净值与人民币赎回单位净值差异因适用汇率不同引起,具体参见产品说明书。