昨天我又把这个网站导入了一下,发现能够导入,但有一个问题,就是数据竟然只在一个单元格里,如下,真不知道他们用的什么网页数据形式: |1.2844|5.7490|-0.0022|-0.1710|152|143|1|1|_2007-09-21|340006|兴业全球视野|3.5025|3.5025|-0.0245|-0.6946|20|36|1|1|_2007-09-21|340001|兴业转债|1.6498|2.7358|0.0172|1.0535|261|262|0|1|6月13日暂停申购转入定投_2007-09-21|560003|益民创新优势|1.2492|1.2492|-0.0210|-1.6533|23|3|1|0|_2007-09-21|560002|益民红利成长|1.1884|2.4255|-0.0155|-1.2875|42|6|1|1|_2007-09-21|110003|易基50指数|1.4274|3.2774|-0.0081|-0.5643|75|56|1|1|_2007-09-21|110002|易基策略成长|5.4730|6.1030|-0.0390|-0.7075|11|35|1|1|_2007-09-21|112002|易基策略二号|3.2650|3.4600|-0.0420|-1.2700|9|8|1|1|_2007-09-21|110005|易基积极成长|1.7617|4.9538|-0.0163|-0.9168|36|20|1|1|_2007-09-21|110010|易基价值成长|1.6469|1.6769|-0.0086|-0.5195|72|63|1|1|_2007-09-21|110009|易基价值精选|3.2642|3.4442|-0.0007|-0.0214|176|182|1|1|_2007-09-21|110001|易基平稳|2.0020|3.1120|-0.0140|-0.6944|46|37|1|1|_2007-09-21|159901|易基深100ETF|5.6260|5.7460|-0.0090|-0.1597|68|147|1|1|_2007-09-21|110007|易基月月收益A|1.0021|1.0322|0.0002|0.0200|205|207|1|1|_2007-09-21|110008|易基月月收益B|1.0021|1.0322|0.0002|0.0200|203|206|1|1|_2007-09-21|151002|银河收益|1.6111|1.9111|-0.0016|-0.0992|160|161|1|1|_2007-09-21|151001|银河稳健|1.4781|3.2831|-0.0101|-0.6787|59|40|1|1|_2007-09-21|150103|银河银泰理财|1.1345|3.6745|-0.0008|-0.0705|173|170|1|1|_2007-09-21|519666|银河银信添利|1.0688|1.0788|-0.0013|-0.1215|163|156|1|1|_2007-09-21|180003|银华—道琼斯88|1.3666|3.1666|-0.0022|-0.1607|151|144|1|1|_2007-09-21|180002|银华保本增值|1.1842|1.1842|0.0008|0.0676|214|214|1|1|_2007-09-21|180012|银华富裕|1.3008|2.2358|0.0057|0.4401|243|249|1|1|_2007-09-21|180001|银华优势企业|1.4187|3.0387|-0.0066|-0.4631|90|83|1|1|_2007-09-21|519001|银华优选股票|1.5962|5.3799|-0.0102|-0.6350|58|45|0|1|_2007-09-21|180010|银华优质增长|3.3326|3.5326|-0.0172|-0.5135|32|65|1|1|_2007-09-21|460002|友邦成长|1.3189|1.3189|0.0018|0.1367|224|228|1|1|_2007-09-21|519519|友邦短债|1.0066|1.0206|-0.0001|-0.0099|186|185|1|1|_2007-09-21|510880|友邦红利ETF|4.8780|4.8780|-0.1100|-2.2053|1|1|1|1|_2007-09-21|460001|友邦盛世|1.0294|3.4653|-0.0016|-0.1552|161|149|0|1|9月4日暂停申购_2007-09-21|217008|招商安本增利|1.1840|1.2290|0.0008|0.0676|212|215|1|1|_2007-09-21|217001|招商安泰股票|2.9634|3.7884|-0.0079|-0.2659|78|116|1|1|_2007-09-21|217002|招商安泰平衡|2.1479|2.7629|-0.0030|-0.1395|135|153|1|1|_2007-09-21|217003|招商安泰债券A|1.1043|1.3408|0.0004|0.0362|209|209|1|1|_2007-09-21|217203|招商安泰债券B|1.0980|1.3345|0.0004|0.0364|210|210|1|1|_2007-09-21|161706|招商成长|1.8377|3.7480|-0.0092|-0.4981|64|72|1|1|_2007-09-21|217009|招商价值|1.7491|1.7491|-0.0054|-0.3078|102|105|1|1|_2007-09-21|217005|招商先锋|1.0371|2.9871|-0.0003|-0.0289|182|179|1|1|9月19日开放申购转入_2007-09-21|398011|中海分红混合|1.0431|2.4431|-0.0023|-0.2200|148|132|1|1|_2007-09-21|398021|中海能源策略|1.6354|1.7154|0.0088|0.5410|253|252|1|1|_2007-09-21|398001|中海优质成长|2.4349|3.3249|-0.0202|-0.8228|25|26|1|1|_2007-09-21|166001|中欧新趋势|1.8406|1.8406|0.0018|0.0979|225|224|1|1|_2007-09-21|288002|中信红利精选|2.6986|4.0986|-0.0247|-0.9070|19|21|1|1|_2007-09-21|288001|中信经典配置|2.3009|3.3009|-0.0300|-1.2871|15|7|1|1|_2007-09-21|288102|中信稳定双利|1.0669|1.1919|0.0003|0.0281|208|208|1|1|_2007-09-21|163804|中银收益|1.0432|2.2232|-0.0091|-0.8648|65|24|1|1|9月20日开放申购转入定投_2007-09-21|163803|中银增长|1.0702|3.1521|-0.0013|-0.1213|164|157|0|1|9月18日暂停申购转入定投_2007-09-21|163801|中银中国|2.1353|3.3053|0.0069|0.3242|249|243|1|1|_2007-09-21|590002|中邮成长基金|1.1083|1.1083|-0.0007|-0.0631|175|172|1|1|2007年9月17日起办理日常申购、赎回业务_2007-09-21|590001|中邮核心优选|2.2783|3.2783|-0.0115|-0.5022|53|70|0|1|_
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