“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
|
|
2011.4.12
|
0.122631
|
-0.98%
|
0.801085
|
0.801012
|
|
2011.4.6
|
0.123843
|
4.37%
|
0.809868
|
0.809745
|
|
2011.3.29
|
0.118660
|
1.41%
|
0.777640
|
0.777580
|
|
2011.3.22
|
0.117005
|
1.64%
|
0.768138
|
0.767553
|
|
2011.3.15
|
0.115118
|
-3.22%
|
0.756095
|
0.756038
|
|
2011.3.08
|
0.118942
|
1.13%
|
0.781208
|
0.781089
|
|
2011.3.01
|
0.117612
|
1.32%
|
0.772712
|
0.772241
|
|
2011.2.22
|
0.116076
|
-0.47%
|
0.762906
|
0.762848
|
|
2011.2.15
|
0.116621
|
-0.82%
|
0.767425
|
0.767366
|
|
2011.2.8
|
0.117591
|
0.05%
|
0.775469
|
0.775398
|
|
2011.2.1
|
0.117527
|
-1.59%
|
0.773448
|
0.773331
|
|
2011.1.25
|
0.119429
|
-1.93%
|
0.786369
|
0.786082
|
|
2011.1.18
|
0.121780
|
0.36%
|
0.801432
|
0.801311
|
|
2011.1.11
|
0.121340
|
-1.84%
|
0.799936
|
0.799876
|
|
2011.1.4
|
0.123620
|
3.53%
|
0.818552
|
0.818490
|
|
2010.12.28
|
0.119410
|
-0.68%
|
0.790671
|
0.790611
|
|
2010.12.21
|
0.120228
|
-1.11%
|
0.799518
|
0.798556
|
|
2010.12.14
|
0.121576
|
-0.29%
|
0.809718
|
0.809694
|
|
2010.12.07
|
0.121929
|
2.29%
|
0.812267
|
0.812048
|
|
2010.11.30
|
0.119196
|
-0.22%
|
0.793783
|
0.793724
|
|
……
|
……
|
……
|
……
|
……
|
|
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。