“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
|
|
2014-08-19
|
0.128370
|
1.25%
|
0.789127
|
0.787548
|
|
2014-08-12
|
0.126779
|
-0.16%
|
0.779817
|
0.779690
|
|
2014-08-05
|
0.126982
|
-1.25%
|
0.782207
|
0.781954
|
|
2014-07-29
|
0.128590
|
2.14%
|
0.793789
|
0.793403
|
|
2014-07-22
|
0.125893
|
0.53%
|
0.779466
|
0.779403
|
|
2014-07-15
|
0.125228
|
-0.78%
|
0.776762
|
0.776412
|
|
2014-07-08
|
0.126215
|
-0.09%
|
0.781523
|
0.781397
|
|
2014-07-02
|
0.126328
|
3.07%
|
0.784343
|
0.784267
|
|
2014-06-24
|
0.122568
|
0.58%
|
0.763694
|
0.762983
|
|
2014-06-17
|
0.121862
|
0.37%
|
0.758712
|
0.757981
|
|
2014-06-10
|
0.121407
|
0.73%
|
0.756245
|
0.755760
|
|
2014-06-03
|
0.120527
|
1.66%
|
0.753668
|
0.753174
|
|
2014-05-27
|
0.118561
|
2.38%
|
0.740648
|
0.740056
|
|
2014-05-20
|
0.115806
|
0.68%
|
0.721468
|
0.721353
|
|
2014-05-13
|
0.115028
|
1.04%
|
0.715818
|
0.715473
|
|
2014-05-07
|
0.113847
|
-0.97%
|
0.708814
|
0.708700
|
|
2014-04-29
|
0.114963
|
-1.67%
|
0.718518
|
0.718404
|
|
2014-04-22
|
0.116911
|
0.83%
|
0.729645
|
0.728768
|
|
2014-04-15
|
0.115948
|
-1.57%
|
0.721546
|
0.720618
|
|
……
|
……
|
……
|
……
|
……
|
|
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。