来源:新浪港股-好仓工作室
海通亚洲总收益债券基金公告称,2026年7月8日,旗下海通亚洲总收益债券基金单位净值为63.8224,海通亚洲总收益债券基金H类(人民币对冲)单位净值为54.1934,海通亚洲总收益债券基金美元单位净值为10.0000。
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