- 2025-03-28 02:45:053月27日基金净值:诺德新旺最新净值1.0891,涨2.21%
- 2025-03-28 02:45:053月27日基金净值:诺德新旺最新净值1.0891,涨2.21%
- 2025-02-07 02:33:562月6日基金净值:诺德新旺最新净值1.0573,涨0.01%
- 2025-02-07 02:33:562月6日基金净值:诺德新旺最新净值1.0573,涨0.01%
- 2025-01-24 06:57:44四季报点评:诺德新旺基金季度涨幅-7.25%
- 2024-10-27 08:14:26三季报点评:诺德新旺基金季度涨幅7.26%
- 2024-07-21 03:14:59二季报点评:诺德新旺基金季度涨幅-2.09%

微信公众号
证券之星APP

