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【华富策略精选 410006】焦点指标(2013-08-13)

单位净值: 0.8409 累计净值: 1.0009 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 410006 行情代码:
投资类型: 混合型 申购费率上限: --% 赎回费率上限: --%
基金经理: 基金管理人: 华富基金管理有限公司 基金托管人: 中国建设银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

华富策略精选 [410006] 历史净值

截止日期单位净值(元)累计净值(元)增长值(元)增长率(%)
2013-08-130.84091.00090.00560.6704
2013-08-120.83530.99530.00540.6507
2013-08-090.82990.9899-0.0022-0.2644
2013-08-080.83210.99210.00590.7141
2013-08-070.82620.9862-0.0135-1.6077
2013-08-060.83970.99970.00881.0591
2013-08-050.83090.99090.01311.6019
2013-08-020.81780.97780.00090.1102
2013-08-010.81690.97690.02713.4312
2013-07-310.78980.94980.00881.1268
2013-07-300.78100.9410-0.0099-1.2517
2013-07-290.79090.9509-0.0208-2.5625
2013-07-260.81170.9717-0.0021-0.2580
2013-07-250.81380.9738-0.0232-2.7718
2013-07-240.83700.99700.00941.1358
2013-07-230.82760.98760.01662.0469
2013-07-220.81100.97100.01652.0768
2013-07-190.79450.9545-0.0159-1.9620
2013-07-180.81040.9704-0.0008-0.0986
2013-07-170.81120.9712-0.0139-1.6846
2013-07-160.82510.98510.00450.5484
2013-07-150.82060.98060.02222.7806
2013-07-120.79840.95840.00330.4150
2013-07-110.79510.95510.01341.7142
2013-07-100.78170.94170.01712.2365
2013-07-090.76460.92460.00570.7511
2013-07-080.75890.9189-0.0199-2.5552
2013-07-050.77880.9388-0.0166-2.0870
2013-07-040.79540.9554-0.0014-0.1757
2013-07-030.79680.95680.00510.6442
2013-07-020.79170.95170.01271.6303
2013-07-010.77900.93900.02473.2746
2013-06-280.75430.9143-0.0062-0.8153
2013-06-270.76050.9205-0.0177-2.2745
2013-06-260.77820.93820.01862.4487
2013-06-250.75960.91960.00901.1990
2013-06-240.75060.9106-0.0386-4.8910
2013-06-210.78920.9492-0.0023-0.2906
2013-06-200.79150.9515-0.0284-3.4638
2013-06-190.81990.9799-0.0028-0.3403


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