(资料图片仅供参考)
智通财经APP讯,招商局中国基金(00133)发布公告,公司于2026年3月31日的未经审计每股资产净值为5.312美元(41.62港元)。
2026-04-15
2026-04-14
2026-04-13
2026-04-12
2026-04-10
2026-04-08
2026-04-07
2026-04-06
2026-04-04
2026-04-03
2026-04-02
2026-04-01
2026-03-31
2026-03-30
2026-03-27
2026-03-26
2026-03-25
2026-03-24
2026-03-09
2026-03-07
2026-03-06
2026-03-05
2026-03-04
2026-02-24
2026-02-20
2026-02-19
2026-02-15
2026-02-12
2026-02-11
2026-02-10
2026-02-08
2026-02-06
2026-02-04
2026-02-02
2026-01-30
2026-04-11
2026-04-09
2026-04-05